annual CFF:
$324.30M+$254.60M(+365.28%)Summary
- As of today (May 30, 2025), GEF annual cash flow from financing activities is $324.30 million, with the most recent change of +$254.60 million (+365.28%) on October 31, 2024.
- During the last 3 years, GEF annual CFF has risen by +$747.20 million (+176.68%).
- GEF annual CFF is now -79.52% below its all-time high of $1.58 billion, reached on October 31, 2019.
Performance
GEF Cash from financing Chart
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quarterly CFF:
$62.50M+$279.90M(+128.75%)Summary
- As of today (May 30, 2025), GEF quarterly cash flow from financing activities is $62.50 million, with the most recent change of +$279.90 million (+128.75%) on January 31, 2025.
- Over the past year, GEF quarterly CFF has increased by +$26.40 million (+73.13%).
- GEF quarterly CFF is now -96.54% below its all-time high of $1.80 billion, reached on April 30, 2019.
Performance
GEF quarterly CFF Chart
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TTM CFF:
$350.70M+$26.40M(+8.14%)Summary
- As of today (May 30, 2025), GEF TTM cash flow from financing activities is $350.70 million, with the most recent change of +$26.40 million (+8.14%) on January 31, 2025.
- Over the past year, GEF TTM CFF has increased by +$484.40 million (+362.30%).
- GEF TTM CFF is now -78.83% below its all-time high of $1.66 billion, reached on April 30, 2019.
Performance
GEF TTM CFF Chart
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Cash from financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
GEF Cash from financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | +365.3% | +73.1% | +362.3% |
3 y3 years | +176.7% | +15.7% | +203.5% |
5 y5 years | -79.5% | +96.5% | +195.9% |
GEF Cash from financing 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 | |
---|---|---|---|---|---|---|---|
3 y | 3-year | at high | +161.1% | -88.6% | +124.9% | -36.2% | +166.1% |
5 y | 5-year | -79.5% | +161.1% | -88.6% | +124.3% | -36.2% | +161.5% |
alltime | all time | -79.5% | +161.1% | -96.5% | +124.3% | -78.8% | +161.5% |
GEF Cash from financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Jan 2025 | - | $62.50M(-128.7%) | $350.70M(+8.1%) |
Oct 2024 | $324.30M(+365.3%) | -$217.40M(+403.2%) | $324.30M(-41.0%) |
Jul 2024 | - | -$43.20M(-107.9%) | $549.40M(+25.1%) |
Apr 2024 | - | $548.80M(+1420.2%) | $439.00M(-428.3%) |
Jan 2024 | - | $36.10M(+368.8%) | -$133.70M(-291.8%) |
Oct 2023 | $69.70M(-113.1%) | $7.70M(-105.0%) | $69.70M(-155.7%) |
Jul 2023 | - | -$153.60M(+542.7%) | -$125.20M(+5.8%) |
Apr 2023 | - | -$23.90M(-110.0%) | -$118.30M(-65.8%) |
Jan 2023 | - | $239.50M(-227.9%) | -$345.50M(-34.9%) |
Oct 2022 | -$531.00M(+25.6%) | -$187.20M(+27.6%) | -$531.00M(+28.7%) |
Jul 2022 | - | -$146.70M(-41.6%) | -$412.60M(+24.1%) |
Apr 2022 | - | -$251.10M(-565.0%) | -$332.60M(-1.9%) |
Jan 2022 | - | $54.00M(-178.5%) | -$338.90M(-19.9%) |
Oct 2021 | -$422.90M(+4.3%) | -$68.80M(+3.1%) | -$422.90M(-20.8%) |
Jul 2021 | - | -$66.70M(-74.1%) | -$533.80M(-6.4%) |
Apr 2021 | - | -$257.40M(+758.0%) | -$570.30M(+22.1%) |
Jan 2021 | - | -$30.00M(-83.3%) | -$467.10M(+15.2%) |
Oct 2020 | -$405.30M(-125.6%) | -$179.70M(+74.1%) | -$405.30M(+7.4%) |
Jul 2020 | - | -$103.20M(-33.1%) | -$377.50M(+3.2%) |
Apr 2020 | - | -$154.20M(-584.9%) | -$365.70M(-123.0%) |
Jan 2020 | - | $31.80M(-120.9%) | $1.59B(+0.6%) |
Oct 2019 | $1.58B(-1100.3%) | -$151.90M(+66.2%) | $1.58B(-0.2%) |
Jul 2019 | - | -$91.40M(-105.1%) | $1.59B(-4.2%) |
Apr 2019 | - | $1.80B(+7742.6%) | $1.66B(-1136.5%) |
Jan 2019 | - | $23.00M(-115.4%) | -$159.80M(+0.9%) |
Oct 2018 | -$158.30M(-9.9%) | -$149.30M(+604.2%) | -$158.30M(+18.2%) |
Jul 2018 | - | -$21.20M(+72.4%) | -$133.90M(-24.0%) |
Apr 2018 | - | -$12.30M(-150.2%) | -$176.20M(-21.3%) |
Jan 2018 | - | $24.50M(-119.6%) | -$223.80M(+27.4%) |
Oct 2017 | -$175.60M(-35.6%) | -$124.90M(+96.7%) | -$175.60M(+15.3%) |
Jul 2017 | - | -$63.50M(+6.0%) | -$152.30M(-4.1%) |
Apr 2017 | - | -$59.90M(-182.4%) | -$158.80M(-8.2%) |
Jan 2017 | - | $72.70M(-171.6%) | -$173.00M(-36.6%) |
Oct 2016 | -$272.80M(+1257.2%) | -$101.60M(+45.1%) | -$272.80M(+16.2%) |
Jul 2016 | - | -$70.00M(-5.5%) | -$234.70M(+31.0%) |
Apr 2016 | - | -$74.10M(+173.4%) | -$179.10M(+67.2%) |
Jan 2016 | - | -$27.10M(-57.3%) | -$107.10M(+432.8%) |
Oct 2015 | -$20.10M(-88.9%) | -$63.50M(+341.0%) | -$20.10M(-85.7%) |
Jul 2015 | - | -$14.40M(+585.7%) | -$140.30M(-30.4%) |
Apr 2015 | - | -$2.10M(-103.5%) | -$201.70M(-25.7%) |
Jan 2015 | - | $59.90M(-132.6%) | -$271.30M(+50.3%) |
Oct 2014 | -$180.50M(+12.9%) | -$183.70M(+142.3%) | -$180.50M(+57.6%) |
Jul 2014 | - | -$75.80M(+5.7%) | -$114.50M(+33.1%) |
Apr 2014 | - | -$71.70M(-147.6%) | -$86.00M(-17.5%) |
Jan 2014 | - | $150.70M(-228.0%) | -$104.30M(-34.8%) |
Oct 2013 | -$159.90M(-54.6%) | -$117.70M(+148.8%) | -$159.90M(+7.5%) |
Jul 2013 | - | -$47.30M(-47.4%) | -$148.70M(-36.8%) |
Apr 2013 | - | -$90.00M(-194.6%) | -$235.20M(-16.7%) |
Jan 2013 | - | $95.10M(-189.3%) | -$282.50M(-19.8%) |
Oct 2012 | -$352.20M(-201.2%) | -$106.50M(-20.4%) | -$352.20M(+95.1%) |
Jul 2012 | - | -$133.80M(-2.5%) | -$180.50M(-252.1%) |
Apr 2012 | - | -$137.30M(-640.6%) | $118.70M(-53.7%) |
Jan 2012 | - | $25.40M(-61.0%) | $256.60M(-26.3%) |
Oct 2011 | $348.10M(+42.6%) | $65.20M(-60.6%) | $348.10M(+12.7%) |
Jul 2011 | - | $165.40M(>+9900.0%) | $309.00M(+125.3%) |
Apr 2011 | - | $600.00K(-99.5%) | $137.17M(-33.8%) |
Jan 2011 | - | $116.90M(+348.0%) | $207.05M(-15.2%) |
Oct 2010 | $244.10M | $26.10M(-505.8%) | $244.10M(+97.1%) |
Jul 2010 | - | -$6.43M(-109.1%) | $123.83M(+178.6%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Apr 2010 | - | $70.48M(-54.2%) | $44.44M(-222.4%) |
Jan 2010 | - | $153.95M(-263.5%) | -$36.31M(-44.4%) |
Oct 2009 | -$65.32M(+223.7%) | -$94.18M(+9.7%) | -$65.32M(+70.1%) |
Jul 2009 | - | -$85.81M(+735.3%) | -$38.39M(-283.7%) |
Apr 2009 | - | -$10.27M(-108.2%) | $20.89M(-178.7%) |
Jan 2009 | - | $124.94M(-285.8%) | -$26.54M(+31.5%) |
Oct 2008 | -$20.18M(-293.8%) | -$67.25M(+153.5%) | -$20.18M(-80.5%) |
Jul 2008 | - | -$26.53M(-54.0%) | -$103.58M(-39.1%) |
Apr 2008 | - | -$57.71M(-143.9%) | -$169.98M(+43.9%) |
Jan 2008 | - | $131.31M(-187.2%) | -$118.11M(-1234.4%) |
Oct 2007 | $10.41M(-35.6%) | -$150.65M(+62.1%) | $10.41M(-95.3%) |
Jul 2007 | - | -$92.93M(+1492.6%) | $219.51M(-13.8%) |
Apr 2007 | - | -$5.83M(-102.2%) | $254.70M(+1.4%) |
Jan 2007 | - | $259.83M(+344.5%) | $251.22M(+1454.5%) |
Oct 2006 | $16.16M(+2095.8%) | $58.45M(-201.2%) | $16.16M(-136.6%) |
Jul 2006 | - | -$57.74M(+519.7%) | -$44.21M(+430.3%) |
Apr 2006 | - | -$9.32M(-137.6%) | -$8.34M(-174.0%) |
Jan 2006 | - | $24.77M(-1390.7%) | $11.27M(+1431.0%) |
Oct 2005 | $736.00K(-100.4%) | -$1.92M(-91.2%) | $736.00K(-100.5%) |
Jul 2005 | - | -$21.87M(-312.6%) | -$152.35M(-3.5%) |
Apr 2005 | - | $10.29M(-27.7%) | -$157.87M(-13.6%) |
Jan 2005 | - | $14.24M(-109.2%) | -$182.76M(-9.4%) |
Oct 2004 | -$201.73M(+1385.4%) | -$155.01M(+465.9%) | -$201.73M(+381.7%) |
Jul 2004 | - | -$27.39M(+87.6%) | -$41.88M(+76.2%) |
Apr 2004 | - | -$14.60M(+208.3%) | -$23.77M(-15.0%) |
Jan 2004 | - | -$4.74M(-197.7%) | -$27.96M(+105.8%) |
Oct 2003 | -$13.58M(-87.1%) | $4.85M(-152.2%) | -$13.58M(-76.1%) |
Jul 2003 | - | -$9.29M(-50.6%) | -$56.75M(-3.8%) |
Apr 2003 | - | -$18.78M(-294.9%) | -$58.99M(-15.8%) |
Jan 2003 | - | $9.64M(-125.2%) | -$70.04M(-33.6%) |
Oct 2002 | -$105.52M(-141.2%) | -$38.32M(+232.4%) | -$105.52M(-13.3%) |
Jul 2002 | - | -$11.53M(-61.4%) | -$121.73M(-21.8%) |
Apr 2002 | - | -$29.83M(+15.5%) | -$155.68M(-161.4%) |
Jan 2002 | - | -$25.84M(-52.6%) | $253.68M(-1.0%) |
Oct 2001 | $256.13M(-704.1%) | -$54.53M(+19.9%) | $256.13M(-12.5%) |
Jul 2001 | - | -$45.48M(-112.0%) | $292.70M(-11.9%) |
Apr 2001 | - | $379.53M(-1722.3%) | $332.22M(-706.3%) |
Jan 2001 | - | -$23.39M(+30.2%) | -$54.79M(+29.2%) |
Oct 2000 | -$42.40M(+1894.2%) | -$17.96M(+201.4%) | -$42.40M(-5.1%) |
Jul 2000 | - | -$5.96M(-20.3%) | -$44.66M(-2.3%) |
Apr 2000 | - | -$7.48M(-32.0%) | -$45.74M(+84.2%) |
Jan 2000 | - | -$11.00M(-45.6%) | -$24.83M(+1067.7%) |
Oct 1999 | -$2.13M(-101.3%) | -$20.23M(+187.5%) | -$2.13M(-80.9%) |
Jul 1999 | - | -$7.03M(-152.4%) | -$11.11M(-15.0%) |
Apr 1999 | - | $13.43M(+14.8%) | -$13.08M(-107.1%) |
Jan 1999 | - | $11.70M(-140.1%) | $184.39M(+9.2%) |
Oct 1998 | $168.89M(+1516.9%) | -$29.21M(+224.6%) | $168.89M(-20.7%) |
Jul 1998 | - | -$9.00M(-104.3%) | $213.04M(-2.3%) |
Apr 1998 | - | $210.90M(-5650.0%) | $218.15M(+6836.2%) |
Jan 1998 | - | -$3.80M(-125.4%) | $3.15M(-69.9%) |
Oct 1997 | $10.45M(-181.6%) | $14.95M(-483.2%) | $10.45M(-416.5%) |
Jul 1997 | - | -$3.90M(-4.9%) | -$3.30M(+17.9%) |
Apr 1997 | - | -$4.10M(-217.1%) | -$2.80M(+16.7%) |
Jan 1997 | - | $3.50M(+191.7%) | -$2.40M(-81.3%) |
Oct 1996 | -$12.80M(-55.4%) | $1.20M(-135.3%) | -$12.80M(-8.6%) |
Jul 1996 | - | -$3.40M(-8.1%) | -$14.00M(+32.1%) |
Apr 1996 | - | -$3.70M(-46.4%) | -$10.60M(+53.6%) |
Jan 1996 | - | -$6.90M | -$6.90M |
Oct 1995 | -$28.70M(+158.5%) | - | - |
Oct 1994 | -$11.10M | - | - |
FAQ
- What is Greif annual cash flow from financing activities?
- What is the all time high annual CFF for Greif?
- What is Greif annual CFF year-on-year change?
- What is Greif quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Greif?
- What is Greif quarterly CFF year-on-year change?
- What is Greif TTM cash flow from financing activities?
- What is the all time high TTM CFF for Greif?
- What is Greif TTM CFF year-on-year change?
What is Greif annual cash flow from financing activities?
The current annual CFF of GEF is $324.30M
What is the all time high annual CFF for Greif?
Greif all-time high annual cash flow from financing activities is $1.58B
What is Greif annual CFF year-on-year change?
Over the past year, GEF annual cash flow from financing activities has changed by +$254.60M (+365.28%)
What is Greif quarterly cash flow from financing activities?
The current quarterly CFF of GEF is $62.50M
What is the all time high quarterly CFF for Greif?
Greif all-time high quarterly cash flow from financing activities is $1.80B
What is Greif quarterly CFF year-on-year change?
Over the past year, GEF quarterly cash flow from financing activities has changed by +$26.40M (+73.13%)
What is Greif TTM cash flow from financing activities?
The current TTM CFF of GEF is $350.70M
What is the all time high TTM CFF for Greif?
Greif all-time high TTM cash flow from financing activities is $1.66B
What is Greif TTM CFF year-on-year change?
Over the past year, GEF TTM cash flow from financing activities has changed by +$484.40M (+362.30%)