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EFC-PCEllington Financial Inc.
$25.68$2.7B
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HomeStocksEFC-PCQuarterly Cash Flow

Ellington Financial Inc. (EFC-PC) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Ellington Financial Inc. (EFC-PC) quarterly cash flow statement — complete operating, investing & financing history

EFC-PC Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations147.09M-298.11M-290.43M-210.52M-126.4M-140.78M-141.69M-88.59M-59.46M-78.95M-70.89M-43.35M
Operating CF Growth %216.37%-111.76%-104.98%-137.62%-112.57%-78.31%-99.86%-104.38%-22.19%-186.92%-536.68%-189.55%
Operating CF / Revenue %64.29%-202.25%-236.11%-244.01%-174.87%-213.03%-232.48%-103.81%-85.17%-99.98%-145.14%-79.67%
Net Income101.35M0000000018.6M13.08M8.88M
Depreciation & Amortization000000000349K-349K0
Stock-Based Compensation000000000369K300K400K
Other Non-Cash Items45.74M-298.11M-290.43M-210.52M-126.4M-169.09M-141.69M-88.59M-59.46M-108.95M-12.96M-52.63M
Working Capital Changes0000028.3M00010.68M-71.19M0
Cash from Investing-2.05B-1.91B-1.02B-495.73M-633.77M-621.36M-576.16M76.29M392.97M296.44M13.73M-116.54M
Acquisitions (Net)-24.68M-5.21M-89.98M-75.25M-62.26M-30.34M-35.69M-38.31M-15.66M26.06M-3.28M-38.9M
Purchase of Investments-3.44B-2.88B-2.5B-2.03B-2.16B-2.66B-1.54B-1.32B-1.26B-11.3B-1.48B-1.68B
Sale of Investments1.32B846.26M1.33B1.52B1.48B1.91B1.17B1.17B1.57B11.44B1.38B1.47B
Other Investing98.96M122.77M244.61M95.71M109.2M163.24M-174.53M264.1M101.13M217.22M71.02M88.89M
Cash from Financing1.76B2.34B1.29B719.56M768.54M742.79M741.54M23.11M-370.25M-163.68M37.23M165.93M
Dividends Paid-55.34M-49.51M-46.6M-44.65M-42.86M-42.37M-40.9M-40.33M-39.95M-42.05M-36.81M-36.43M
Common Dividends-55.34M-49.51M-46.6M-44.65M-42.86M-42.37M-40.9M-40.33M-39.95M-42.05M-36.81M-36.43M
Debt Issuance (Net)1000K1000K1000K1000K1000K1000K1000K1000K-1000K-1000K1000K1000K
Share Repurchases-115M0000-23.93M0-161K-524K00-280K
Other Financing-22.35M3.77M2.68M-2.14M2.06M65.77M-2.05M3.71M-15.71M39.68M-15.92M-16.79M
Net Change in Cash-146.67M132.61M-25.05M13.31M8.37M-19.36M23.69M10.8M-36.73M54.28M-19.93M6.04M
Exchange Rate Effect000000000000
Cash at Beginning338.19M205.58M230.63M217.31M208.95M228.3M204.61M193.81M230.54M176.27M196.2M190.16M
Cash at End191.52M338.19M205.58M230.63M217.31M208.95M228.3M204.61M193.81M230.54M176.27M196.2M
Free Cash Flow146.92M-298.11M-290.43M-210.52M-126.4M-140.78M-141.69M-88.59M-59.46M50.97M-24.64M1.93M
FCF Growth %216.24%-111.76%-104.98%-137.62%-112.57%-376.23%-475.08%-4699.95%-22.13%176.65%-120.04%-96.02%
FCF / Revenue %64.21%-202.25%-236.11%-244.01%-174.87%-213.03%-232.48%-103.81%-85.17%64.54%-50.44%3.54%