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EICCEagle Point Income Company Inc.
$25.00$370M
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HomeStocksEICCQuarterly Cash Flow

Eagle Point Income Company Inc. (EICC) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Eagle Point Income Company Inc. (EICC) quarterly cash flow statement — complete operating, investing & financing history

EICC Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23
Cash from Operations9.53M36.68M8.17M-57.09M8.55M6.65M-42.49M5.56M4.49M2.14M781.39K2.76M
Operating CF Growth %11.41%451.91%119.23%-1127.62%90.23%210.65%-5538.02%101.01%52.3%-5.81%-70.49%58.91%
Net Income-14.56M11.03M12.95M-10.57M15.04M1.04M8.51M16.97M7.55M14.1M3.04M4.6M
Depreciation & Amortization010.55K015.82K0012.5K00000
Deferred Taxes000000000000
Other Non-Cash Items22.95M26.82M-3.28M-46.05M-5.94M7.06M-50.56M-10.11M-1.2M-9.6M-2.7M-1.37M
Working Capital Changes1.14M-1.17M-1.5M-493.17K-551.03K-1.45M-455.66K-780.22K-915.53K-1.27M444.47K-472.66K
Cash from Investing33.1M0-36.09M0-37.42M-62.4M0-35.51M-24.17M-49.44M00
Purchase of Investments-56.35M0-59.21M-106.18M-86.32M-89.76M-65.29M-49.31M-27.12M-50.78M00
Sale/Maturity of Investments89.44M023.12M40.54M48.91M27.36M17.52M13.8M2.95M1.34M00
Net Investment Activity33.1M0-36.09M-65.64M-37.42M-62.4M-47.78M-35.51M-24.17M-49.44M00
Acquisitions000000000000
Other Investing00065.64M00000000
Cash from Financing-78.39M-1.67M18.79M64.38M33.73M48.4M52.97M29.12M20.62M46.11M301.89K-2.69M
Dividends Paid-8.9M-7.98M-13.94M-12.22M-8.23M-10.29M-8.52M-7.28M-5.51M-4.49M-4.11M-3.97M
Share Repurchases-72.27M-20.86M000000721-72100
Stock Issued3.52M030.71M78.6M48.06M50.65M80.35M32.07M15.73M46.53M00
Net Stock Activity-68.75M-20.86M30.71M78.6M48.06M50.65M80.35M32.07M15.73M46.52M00
Debt Issuance (Net)-738.99K-1000K-1000K-1000K-1000K1000K-1000K1000K1000K1000K-1000K-1000K
Other Financing035.66M15M06.42M-6.48M80.35M32.07M15.73M46.47M7.32M7.4M
Net Change in Cash-35.77M35.01M-9.13M7.29M4.86M-7.36M10.48M-829.12K943.57K-1.19M1.08M69.16K
Exchange Rate Effect000000000000
Cash at Beginning41.27M6.26M15.39M8.1M3.24M10.6M114.94K944.06K4891.19M106.22K37.06K
Cash at End5.5M41.27M6.26M15.39M8.1M3.24M10.6M114.94K944.06K4891.19M106.22K
Interest Paid03.15M02.56M00000000
Income Taxes Paid000000000000
Free Cash Flow9.53M36.68M8.17M-57.09M8.55M6.65M-42.49M5.56M4.49M2.14M781.39K2.76M
FCF Growth %11.41%451.91%119.23%-1127.62%90.23%210.65%-5538.02%101.01%52.3%-5.81%-70.49%58.91%