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SARSaratoga Investment Corp.
$22.29$363M
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HomeStocksSARQuarterly Cash Flow

Saratoga Investment Corp. (SAR) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Saratoga Investment Corp. (SAR) quarterly cash flow statement — complete operating, investing & financing history

SAR Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24
Cash from Operations-124.69B7.5M3.04M32.29M-19.92M94.16M71.15M52.15M11.54M-18.55M-7.08M-110.91M
Operating CF Margin %-198.75%27.52%10.97%110.23%-114.02%378.41%245.63%228.24%52.62%-162.26%-31.54%-807.64%
Operating CF Growth %-625959.67%-92.03%-95.72%-38.07%-272.65%607.54%1104.55%147.01%-64.57%17.41%88.25%-38.28%
Net Income0000-19.93M013.32M6.61M5.31M-4.06M7.9M-213.26K
Depreciation & Amortization1.19B1.11B1.25B1.25B3.4B001.24M1.26M000
Stock-Based Compensation000000000000
Deferred Taxes-30.32M-204.68M-11.31M50M78.75M-18.47M00369.59K220K-237K0
Other Non-Cash Items-125.86B-898.67M-1.23B-1.28B-3.48B109.29M56.41M43.71M7.44M-13.36M-13.15M-110.34M
Working Capital Changes7.24M-1.13M-6.42M7.24M-3.61M3.34M1.42M589.83K-2.84M-1.36M-1.59M-359.33K
Change in Receivables-503.39K-277.42K-600.78K-503.39K-2282.63M817.14K688.52K-1.04M-1.2M-203.17K666.86K
Change in Inventory00000000000-1.03M
Change in Payables-246.43M-1.22M-4.54M7.47M-2.56M-780.01K00-541.2K-1.04M-368.6K434.28M
Cash from Investing-116.36B-16.1M-22.35M00000-32.19M-33.47M-21.42M-128.75B
Capital Expenditures000000000000
CapEx % of Revenue-0%0%-0%0%----0%-
Acquisitions------------
Investments354.12B00968.32M978.08M960.09M1.04B1.1B1.14B1.11B1.1B1.08B
Other Investing-14.97B16.09B0-14.98B-14.18B-76.01M-57.56B-36.4B0000
Cash from Financing-42.64B-22.64M-4.18M-12.73M-25.52M-6M-2.44M644.75K14.14M17.15M2.36M67.99M
Debt Issued (Net)------------
Equity Issued (Net)01.51M11.08M6.14M-2.98M2.98M17.25M15.5M14.41M8.92M24.55M-2.16M
Dividends Paid-14.38B-10.8M-10.51B-16.67M-13.69M-8.96M-9.12M-8.98M-8.89M-8.43M-7.6M-7.13M
Share Repurchases-54.31M0000000000-2.16M
Other Financing-28.26B50K10.5B297.77K8.64M-42.58K-17.57M-16.38M-383.69K653.4K-1.58M-1.77K
Net Change in Cash-147.77B-31.25M-23.48M19.56M-45.44M88.16M68.71M52.79M-6.52M-1.41M-4.72M-42.92M
Free Cash Flow-124.69B7.5M3.04M32.29M-19.92M94.16M71.15M52.15M11.54M-18.55M-7.08M-110.91M
FCF Margin %-198.75%27.52%10.97%110.23%-114.02%378.41%245.63%228.24%52.62%-162.26%-31.54%-807.64%
FCF Growth %-625959.67%-92.03%-95.72%-38.07%-272.65%607.54%1104.55%147.01%-64.57%17.41%88.25%-38.28%
FCF per Share-7866.760.470.192.10-1.366.835.183.810.85-1.42-0.58-9.35
FCF Conversion (FCF/Net Income)-0.63x0.23x2.32x29.43x10.66x5.34x7.89x2.17x4.57x-0.90x520.09x
Interest Paid000000000000
Taxes Paid000000000000