Annual FCF:
$205.67M-$7.60M(-3.56%)Summary
- As of today, CIM annual free cash flow is $205.67 million, with the most recent change of -$7.60 million (-3.56%) on December 31, 2024.
- During the last 3 years, CIM annual free cash flow has fallen by -$313.51 million (-60.39%).
- CIM annual free cash flow is now -62.80% below its all-time high of $552.91 million, reached on December 31, 2016.
Performance
CIM Free Cash Flow Chart
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Quarterly FCF:
-$137.48M-$130.05M(-1750.55%)Summary
- As of today, CIM quarterly free cash flow is -$137.48 million, with the most recent change of -$130.05 million (-1750.55%) on September 30, 2025.
- Over the past year, CIM quarterly free cash flow has dropped by -$178.89 million (-431.95%).
- CIM quarterly free cash flow is now -131.42% below its all-time high of $437.57 million, reached on June 30, 2020.
Performance
CIM Quarterly Free Cash Flow Chart
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TTM FCF:
-$58.16M-$178.89M(-148.17%)Summary
- As of today, CIM TTM free cash flow is -$58.16 million, with the most recent change of -$178.89 million (-148.17%) on September 30, 2025.
- Over the past year, CIM TTM free cash flow has dropped by -$257.20 million (-129.22%).
- CIM TTM free cash flow is now -107.27% below its all-time high of $799.57 million, reached on March 31, 2021.
Performance
CIM TTM Free Cash Flow Chart
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Free Cash Flow Formula
FCF = Cash From Operations − CAPEX
CIM Free Cash Flow Trends
| PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
|---|---|---|---|
| 1Y1 Year | -3.6% | -431.9% | -129.2% |
| 3Y3 Years | -60.4% | -438.4% | -114.2% |
| 5Y5 Years | +216.2% | -184.6% | -114.9% |
CIM Free Cash Flow Highs & Lows
| PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | TTM vs HighTTM vs High | TTM vs LowTTM vs Low | |
|---|---|---|---|---|---|---|---|
| 3Y | 3-Year | -60.4% | at low | -228.7% | at low | -114.2% | at low |
| 5Y | 5-Year | -60.4% | +216.2% | -184.6% | at low | -107.3% | at low |
| All-Time | All-Time | -62.8% | >+9999.0% | -131.4% | +67.2% | -107.3% | +82.7% |
CIM Free Cash Flow History
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Sep 2025 | - | -$137.48M(-1750.5%) | -$58.16M(-148.2%) |
| Jun 2025 | - | -$7.43M(-115.2%) | $120.74M(-38.8%) |
| Mar 2025 | - | $48.80M(+28.6%) | $197.20M(-4.1%) |
| Dec 2024 | $205.67M(-3.6%) | $37.95M(-8.4%) | $205.67M(+3.3%) |
| Sep 2024 | - | $41.41M(-40.0%) | $199.05M(-1.6%) |
| Jun 2024 | - | $69.03M(+20.5%) | $202.31M(-15.7%) |
| Mar 2024 | - | $57.27M(+82.8%) | $240.10M(+12.6%) |
| Dec 2023 | $213.27M(-34.5%) | $31.33M(-29.9%) | $213.27M(+2.3%) |
| Sep 2023 | - | $44.68M(-58.2%) | $208.38M(+2.0%) |
| Jun 2023 | - | $106.82M(+250.9%) | $204.33M(-7.2%) |
| Mar 2023 | - | $30.44M(+15.2%) | $220.25M(-32.4%) |
| Dec 2022 | $325.72M(-37.3%) | $26.43M(-34.9%) | $325.72M(-20.2%) |
| Sep 2022 | - | $40.63M(-66.9%) | $408.38M(-21.2%) |
| Jun 2022 | - | $122.74M(-9.7%) | $518.35M(-2.7%) |
| Mar 2022 | - | $135.92M(+24.6%) | $532.90M(+2.6%) |
| Dec 2021 | $519.18M(+101.3%) | $109.09M(-27.6%) | $519.18M(+6.5%) |
| Sep 2021 | - | $150.60M(+9.7%) | $487.36M(-2.4%) |
| Jun 2021 | - | $137.29M(+12.3%) | $499.29M(-37.6%) |
| Mar 2021 | - | $122.20M(+58.1%) | $799.57M(+210.0%) |
| Dec 2020 | $257.90M(+296.6%) | $77.28M(-52.5%) | $257.90M(-33.9%) |
| Sep 2020 | - | $162.52M(-62.9%) | $390.43M(+69.6%) |
| Jun 2020 | - | $437.57M(+204.3%) | $230.20M(+178.8%) |
| Mar 2020 | - | -$419.46M(-299.9%) | -$292.25M(-549.4%) |
| Dec 2019 | $65.04M(-78.1%) | $209.80M(+9073.7%) | $65.04M(+119.3%) |
| Sep 2019 | - | $2.29M(+102.7%) | -$336.93M(-116.7%) |
| Jun 2019 | - | -$84.88M(-36.5%) | -$155.49M(-521.0%) |
| Mar 2019 | - | -$62.18M(+67.6%) | $36.93M(-87.6%) |
| Dec 2018 | $297.58M(-38.9%) | -$192.16M(-204.6%) | $297.58M(-55.4%) |
| Sep 2018 | - | $183.73M(+70.8%) | $667.83M(+9.5%) |
| Jun 2018 | - | $107.54M(-45.8%) | $610.05M(-2.3%) |
| Mar 2018 | - | $198.48M(+11.4%) | $624.61M(+28.2%) |
| Dec 2017 | $487.29M(-11.9%) | $178.09M(+41.4%) | $487.29M(-18.5%) |
| Sep 2017 | - | $125.94M(+3.2%) | $598.22M(-3.8%) |
| Jun 2017 | - | $122.10M(+99.6%) | $621.93M(+22.8%) |
| Mar 2017 | - | $61.16M(-78.8%) | $506.50M(-8.4%) |
| Dec 2016 | $552.91M | $289.01M(+93.1%) | $552.91M(+36.1%) |
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Sep 2016 | - | $149.66M(+2144.7%) | $406.25M(+27.7%) |
| Jun 2016 | - | $6.67M(-93.8%) | $318.21M(-32.3%) |
| Mar 2016 | - | $107.57M(-24.4%) | $469.86M(+18.6%) |
| Dec 2015 | $396.30M(+116.8%) | $142.36M(+131.1%) | $396.30M(+40.9%) |
| Sep 2015 | - | $61.61M(-61.1%) | $281.34M(-17.5%) |
| Jun 2015 | - | $158.32M(+365.5%) | $340.88M(+123.1%) |
| Mar 2015 | - | $34.01M(+24.1%) | $152.76M(-16.4%) |
| Dec 2014 | $182.78M(-40.0%) | $27.40M(-77.4%) | $182.78M(-24.1%) |
| Sep 2014 | - | $121.15M(+506.6%) | $240.94M(+18.7%) |
| Jun 2014 | - | -$29.80M(-146.5%) | $203.00M(-32.9%) |
| Mar 2014 | - | $64.03M(-25.2%) | $302.45M(-0.8%) |
| Dec 2013 | $304.82M(-9.0%) | $85.56M(+2.8%) | $304.82M(+7.9%) |
| Sep 2013 | - | $83.20M(+19.5%) | $282.48M(+0.3%) |
| Jun 2013 | - | $69.65M(+4.9%) | $281.57M(-8.2%) |
| Mar 2013 | - | $66.40M(+5.0%) | $306.77M(-8.4%) |
| Dec 2012 | $334.92M(-25.2%) | $63.23M(-23.2%) | $334.92M(-12.2%) |
| Sep 2012 | - | $82.29M(-13.2%) | $381.27M(-9.4%) |
| Jun 2012 | - | $94.85M(+0.3%) | $420.64M(-4.2%) |
| Mar 2012 | - | $94.55M(-13.7%) | $439.27M(-1.9%) |
| Dec 2011 | $447.70M(+39.0%) | $109.58M(-9.9%) | $447.70M(+7.0%) |
| Sep 2011 | - | $121.66M(+7.2%) | $418.27M(+13.3%) |
| Jun 2011 | - | $113.48M(+10.2%) | $369.21M(+10.8%) |
| Mar 2011 | - | $102.98M(+28.5%) | $333.32M(+9.1%) |
| Dec 2010 | $322.00M(+90.9%) | $80.15M(+10.4%) | $305.58M(+4.7%) |
| Sep 2010 | - | $72.60M(-6.4%) | $291.81M(+3.0%) |
| Jun 2010 | - | $77.58M(+3.1%) | $283.29M(+23.1%) |
| Mar 2010 | - | $75.25M(+13.4%) | $230.11M(+36.4%) |
| Dec 2009 | $168.68M(+450.1%) | $66.38M(+3.6%) | $168.68M(+39.9%) |
| Sep 2009 | - | $64.08M(+162.6%) | $120.57M(+126.3%) |
| Jun 2009 | - | $24.41M(+76.6%) | $53.28M(+46.1%) |
| Mar 2009 | - | $13.82M(-24.3%) | $36.45M(+18.9%) |
| Dec 2008 | $30.66M(+2113.3%) | $18.27M(+668.0%) | $30.66M(+147.3%) |
| Sep 2008 | - | -$3.22M(-142.4%) | $12.40M(-20.6%) |
| Jun 2008 | - | $7.58M(-5.5%) | $15.61M(+94.5%) |
| Mar 2008 | - | $8.03M | $8.03M |
| Dec 2007 | -$1.52M | - | - |
FAQ
- What is Chimera Investment Corporation annual free cash flow?
- What is the all-time high annual free cash flow for Chimera Investment Corporation?
- What is Chimera Investment Corporation annual free cash flow year-on-year change?
- What is Chimera Investment Corporation quarterly free cash flow?
- What is the all-time high quarterly free cash flow for Chimera Investment Corporation?
- What is Chimera Investment Corporation quarterly free cash flow year-on-year change?
- What is Chimera Investment Corporation TTM free cash flow?
- What is the all-time high TTM free cash flow for Chimera Investment Corporation?
- What is Chimera Investment Corporation TTM free cash flow year-on-year change?
What is Chimera Investment Corporation annual free cash flow?
The current annual free cash flow of CIM is $205.67M
What is the all-time high annual free cash flow for Chimera Investment Corporation?
Chimera Investment Corporation all-time high annual free cash flow is $552.91M
What is Chimera Investment Corporation annual free cash flow year-on-year change?
Over the past year, CIM annual free cash flow has changed by -$7.60M (-3.56%)
What is Chimera Investment Corporation quarterly free cash flow?
The current quarterly free cash flow of CIM is -$137.48M
What is the all-time high quarterly free cash flow for Chimera Investment Corporation?
Chimera Investment Corporation all-time high quarterly free cash flow is $437.57M
What is Chimera Investment Corporation quarterly free cash flow year-on-year change?
Over the past year, CIM quarterly free cash flow has changed by -$178.89M (-431.95%)
What is Chimera Investment Corporation TTM free cash flow?
The current TTM free cash flow of CIM is -$58.16M
What is the all-time high TTM free cash flow for Chimera Investment Corporation?
Chimera Investment Corporation all-time high TTM free cash flow is $799.57M
What is Chimera Investment Corporation TTM free cash flow year-on-year change?
Over the past year, CIM TTM free cash flow has changed by -$257.20M (-129.22%)