Annual CFF
$425.67 M
-$213.54 M-33.41%
31 December 2023
Summary:
Iron Mountain Incorporated annual cash flow from financing activities is currently $425.67 million, with the most recent change of -$213.54 million (-33.41%) on 31 December 2023. During the last 3 years, it has risen by +$1.31 billion (+148.01%). IRM annual CFF is now -33.41% below its all-time high of $639.21 million, reached on 31 December 2022.IRM Cash From Financing Chart
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Quarterly CFF
$269.91 M
+$262.72 M+3652.92%
30 September 2024
Summary:
Iron Mountain Incorporated quarterly cash flow from financing activities is currently $269.91 million, with the most recent change of +$262.72 million (+3652.92%) on 30 September 2024. Over the past year, it has increased by +$75.86 million (+39.10%). IRM quarterly CFF is now -72.60% below its all-time high of $985.25 million, reached on 31 March 2018.IRM Quarterly CFF Chart
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TTM CFF
$661.00 M
+$75.86 M+12.97%
30 September 2024
Summary:
Iron Mountain Incorporated TTM cash flow from financing activities is currently $661.00 million, with the most recent change of +$75.86 million (+12.97%) on 30 September 2024. Over the past year, it has increased by +$276.36 million (+71.85%). IRM TTM CFF is now -55.61% below its all-time high of $1.49 billion, reached on 31 March 2018.IRM TTM CFF Chart
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IRM Cash From Financing Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -33.4% | +39.1% | +71.8% |
3 y3 years | +148.0% | +189.1% | +187.3% |
5 y5 years | -22.7% | +1504.5% | +432.2% |
IRM Cash From Financing High & Low
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 years | -33.4% | +148.0% | -65.0% | +217.6% | at high | +187.3% |
5 y | 5 years | -33.4% | +148.0% | -65.0% | +129.2% | at high | +137.3% |
alltime | all time | -33.4% | +148.0% | -72.6% | +129.2% | -55.6% | +137.3% |
Iron Mountain Incorporated Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Sept 2024 | - | $269.91 M(+3652.9%) | $661.00 M(+13.0%) |
June 2024 | - | $7.19 M(-98.0%) | $585.13 M(-8.3%) |
Mar 2024 | - | $362.10 M(+1561.5%) | $637.86 M(+49.9%) |
Dec 2023 | $425.67 M(-33.4%) | $21.79 M(-88.8%) | $425.67 M(+10.7%) |
Sept 2023 | - | $194.04 M(+223.8%) | $384.63 M(+25.3%) |
June 2023 | - | $59.93 M(-60.0%) | $307.03 M(+1649.0%) |
Mar 2023 | - | $149.90 M(-879.1%) | $17.55 M(-97.3%) |
Dec 2022 | $639.21 M(-389.5%) | -$19.24 M(-116.5%) | $639.21 M(+3.9%) |
Sept 2022 | - | $116.45 M(-150.7%) | $615.23 M(+3.9%) |
June 2022 | - | -$229.55 M(-129.8%) | $592.13 M(+13.6%) |
Mar 2022 | - | $771.55 M(-1885.2%) | $521.26 M(-336.1%) |
Dec 2021 | -$220.81 M(-75.1%) | -$43.22 M(-146.3%) | -$220.81 M(-70.8%) |
Sept 2021 | - | $93.35 M(-131.1%) | -$757.11 M(-57.3%) |
June 2021 | - | -$300.43 M(-1118.7%) | -$1.77 B(+90.6%) |
Mar 2021 | - | $29.49 M(-105.1%) | -$930.97 M(+5.0%) |
Dec 2020 | -$886.70 M(+345.6%) | -$579.52 M(-37.3%) | -$886.70 M(+68.6%) |
Sept 2020 | - | -$924.09 M(-270.1%) | -$526.03 M(-238.9%) |
June 2020 | - | $543.15 M(+636.4%) | $378.84 M(-221.1%) |
Mar 2020 | - | $73.76 M(-133.7%) | -$312.95 M(+57.3%) |
Dec 2019 | -$198.97 M(-136.1%) | -$218.86 M(+1038.9%) | -$198.97 M(-0.0%) |
Sept 2019 | - | -$19.22 M(-87.1%) | -$199.00 M(-4.8%) |
June 2019 | - | -$148.63 M(-179.2%) | -$208.97 M(-15.3%) |
Mar 2019 | - | $187.74 M(-185.8%) | -$246.84 M(-144.8%) |
Dec 2018 | $550.68 M(+1.9%) | -$218.88 M(+649.7%) | $550.68 M(-56.6%) |
Sept 2018 | - | -$29.19 M(-84.3%) | $1.27 B(-9.4%) |
June 2018 | - | -$186.50 M(-118.9%) | $1.40 B(-5.9%) |
Mar 2018 | - | $985.25 M(+97.5%) | $1.49 B(+175.5%) |
Dec 2017 | $540.42 M(+331.1%) | $498.94 M(+384.1%) | $540.42 M(-296.9%) |
Sept 2017 | - | $103.06 M(-204.9%) | -$274.48 M(+10.2%) |
June 2017 | - | -$98.25 M(-368.0%) | -$249.15 M(-274.5%) |
Mar 2017 | - | $36.66 M(-111.6%) | $142.77 M(+13.9%) |
Dec 2016 | $125.37 M(-215.5%) | -$315.96 M(-346.1%) | $125.37 M(+165.1%) |
Sept 2016 | - | $128.40 M(-56.3%) | $47.29 M(-80.3%) |
June 2016 | - | $293.68 M(+1424.7%) | $239.90 M(-251.7%) |
Mar 2016 | - | $19.26 M(-104.9%) | -$158.11 M(+45.7%) |
Dec 2015 | -$108.51 M(-646.5%) | -$394.05 M(-222.8%) | -$108.51 M(-151.5%) |
Sept 2015 | - | $321.01 M(-407.7%) | $210.56 M(-379.1%) |
June 2015 | - | -$104.33 M(-251.5%) | -$75.44 M(+134.9%) |
Mar 2015 | - | $68.86 M(-191.8%) | -$32.12 M(-261.8%) |
Dec 2014 | $19.86 M(+7.0%) | -$74.98 M(-314.2%) | $19.86 M(-87.8%) |
Sept 2014 | - | $35.01 M(-157.4%) | $163.20 M(+217.1%) |
June 2014 | - | -$61.01 M(-150.5%) | $51.47 M(-66.5%) |
Mar 2014 | - | $120.84 M(+76.7%) | $153.49 M(+726.8%) |
Dec 2013 | $18.56 M(-34.2%) | $68.37 M(-189.1%) | $18.56 M(-111.2%) |
Sept 2013 | - | -$76.72 M(-287.1%) | -$165.28 M(-443.9%) |
June 2013 | - | $41.01 M(-391.1%) | $48.06 M(+70.2%) |
Mar 2013 | - | -$14.09 M(-87.8%) | $28.24 M(+0.0%) |
Dec 2012 | $28.23 M(-103.7%) | -$115.47 M(-184.5%) | $28.23 M(-109.4%) |
Sept 2012 | - | $136.62 M(+545.1%) | -$299.47 M(-10.1%) |
June 2012 | - | $21.18 M(-250.2%) | -$333.23 M(-51.5%) |
Mar 2012 | - | -$14.10 M(-96.8%) | -$687.39 M(-10.0%) |
Dec 2011 | -$763.81 M | -$443.17 M(-530.8%) | -$763.81 M(+120.2%) |
Sept 2011 | - | $102.86 M(-130.9%) | -$346.82 M(-52.2%) |
June 2011 | - | -$332.98 M(+267.9%) | -$725.54 M(+59.6%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Mar 2011 | - | -$90.51 M(+245.6%) | -$454.59 M(+19.2%) |
Dec 2010 | -$381.23 M(+194.0%) | -$26.19 M(-90.5%) | -$381.23 M(-13.8%) |
Sept 2010 | - | -$275.86 M(+344.7%) | -$442.51 M(+219.6%) |
June 2010 | - | -$62.03 M(+261.6%) | -$138.45 M(+52.6%) |
Mar 2010 | - | -$17.16 M(-80.4%) | -$90.74 M(-30.0%) |
Dec 2009 | -$129.69 M(-248.4%) | -$87.47 M(-410.1%) | -$129.69 M(-7.4%) |
Sept 2009 | - | $28.20 M(-296.9%) | -$139.99 M(+38.5%) |
June 2009 | - | -$14.32 M(-74.5%) | -$101.05 M(-594.2%) |
Mar 2009 | - | -$56.11 M(-42.6%) | $20.45 M(-76.6%) |
Dec 2008 | $87.37 M(-80.9%) | -$97.77 M(-245.6%) | $87.37 M(-73.2%) |
Sept 2008 | - | $67.14 M(-37.4%) | $326.10 M(+7.4%) |
June 2008 | - | $107.18 M(+891.3%) | $303.70 M(-33.8%) |
Mar 2008 | - | $10.81 M(-92.3%) | $458.98 M(+0.4%) |
Dec 2007 | $457.00 M(+452.4%) | $140.97 M(+215.1%) | $457.00 M(+34.6%) |
Sept 2007 | - | $44.74 M(-83.0%) | $339.53 M(+11.0%) |
June 2007 | - | $262.46 M(+2870.3%) | $305.78 M(+406.4%) |
Mar 2007 | - | $8.84 M(-62.4%) | $60.38 M(-27.0%) |
Dec 2006 | $82.73 M(+1.6%) | $23.49 M(+113.7%) | $82.73 M(-51.7%) |
Sept 2006 | - | $10.99 M(-35.5%) | $171.46 M(+13.6%) |
June 2006 | - | $17.06 M(-45.3%) | $150.96 M(+77.2%) |
Mar 2006 | - | $31.19 M(-72.2%) | $85.19 M(+4.6%) |
Dec 2005 | $81.45 M(-70.6%) | $112.22 M(-1280.1%) | $81.45 M(+21.1%) |
Sept 2005 | - | -$9.51 M(-80.5%) | $67.25 M(-49.4%) |
June 2005 | - | -$48.72 M(-277.4%) | $132.87 M(-25.1%) |
Mar 2005 | - | $27.45 M(-72.0%) | $177.31 M(-35.9%) |
Dec 2004 | $276.57 M(-12.2%) | $98.02 M(+74.7%) | $276.57 M(+53.2%) |
Sept 2004 | - | $56.11 M(-1413.7%) | $180.56 M(-43.1%) |
June 2004 | - | -$4.27 M(-103.4%) | $317.15 M(-30.6%) |
Mar 2004 | - | $126.71 M(+6179.0%) | $457.13 M(+45.1%) |
Dec 2003 | $315.05 M(+1062.6%) | $2.02 M(-99.0%) | $315.05 M(-7.6%) |
Sept 2003 | - | $192.69 M(+42.0%) | $340.93 M(+174.0%) |
June 2003 | - | $135.70 M(-983.4%) | $124.41 M(+1831.2%) |
Mar 2003 | - | -$15.36 M(-155.1%) | $6.44 M(-76.2%) |
Dec 2002 | $27.10 M(-79.9%) | $27.90 M(-217.1%) | $27.10 M(-503.4%) |
Sept 2002 | - | -$23.83 M(-234.3%) | -$6.72 M(-113.4%) |
June 2002 | - | $17.74 M(+235.0%) | $50.16 M(-31.6%) |
Mar 2002 | - | $5.29 M(-189.4%) | $73.30 M(-45.7%) |
Dec 2001 | $134.90 M(-21.8%) | -$5.92 M(-117.9%) | $134.90 M(-6.8%) |
Sept 2001 | - | $33.05 M(-19.1%) | $144.78 M(-28.7%) |
June 2001 | - | $40.87 M(-38.9%) | $203.17 M(-5.0%) |
Mar 2001 | - | $66.89 M(+1589.7%) | $213.86 M(+24.0%) |
Dec 2000 | $172.41 M(-33.1%) | $3.96 M(-95.7%) | $172.41 M(-5.4%) |
Sept 2000 | - | $91.44 M(+77.3%) | $182.25 M(+63.1%) |
June 2000 | - | $51.57 M(+102.7%) | $111.71 M(-48.1%) |
Mar 2000 | - | $25.44 M(+84.4%) | $215.04 M(-16.6%) |
Dec 1999 | $257.90 M(+61.9%) | $13.80 M(-34.0%) | $257.90 M(+30.5%) |
Sept 1999 | - | $20.90 M(-86.5%) | $197.70 M(-13.7%) |
June 1999 | - | $154.89 M(+126.8%) | $229.20 M(+33.6%) |
Mar 1999 | - | $68.31 M(-247.2%) | $171.51 M(+7.7%) |
Dec 1998 | $159.30 M(-31.1%) | -$46.40 M(-188.5%) | $159.30 M(-22.6%) |
Sept 1998 | - | $52.40 M(-46.1%) | $205.70 M(+34.2%) |
June 1998 | - | $97.20 M(+73.3%) | $153.30 M(+173.3%) |
Mar 1998 | - | $56.10 M | $56.10 M |
Dec 1997 | $231.20 M(+178.8%) | - | - |
Dec 1996 | $82.94 M | - | - |
FAQ
- What is Iron Mountain Incorporated annual cash flow from financing activities?
- What is the all time high annual CFF for Iron Mountain Incorporated?
- What is Iron Mountain Incorporated annual CFF year-on-year change?
- What is Iron Mountain Incorporated quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Iron Mountain Incorporated?
- What is Iron Mountain Incorporated quarterly CFF year-on-year change?
- What is Iron Mountain Incorporated TTM cash flow from financing activities?
- What is the all time high TTM CFF for Iron Mountain Incorporated?
- What is Iron Mountain Incorporated TTM CFF year-on-year change?
What is Iron Mountain Incorporated annual cash flow from financing activities?
The current annual CFF of IRM is $425.67 M
What is the all time high annual CFF for Iron Mountain Incorporated?
Iron Mountain Incorporated all-time high annual cash flow from financing activities is $639.21 M
What is Iron Mountain Incorporated annual CFF year-on-year change?
Over the past year, IRM annual cash flow from financing activities has changed by -$213.54 M (-33.41%)
What is Iron Mountain Incorporated quarterly cash flow from financing activities?
The current quarterly CFF of IRM is $269.91 M
What is the all time high quarterly CFF for Iron Mountain Incorporated?
Iron Mountain Incorporated all-time high quarterly cash flow from financing activities is $985.25 M
What is Iron Mountain Incorporated quarterly CFF year-on-year change?
Over the past year, IRM quarterly cash flow from financing activities has changed by +$75.86 M (+39.10%)
What is Iron Mountain Incorporated TTM cash flow from financing activities?
The current TTM CFF of IRM is $661.00 M
What is the all time high TTM CFF for Iron Mountain Incorporated?
Iron Mountain Incorporated all-time high TTM cash flow from financing activities is $1.49 B
What is Iron Mountain Incorporated TTM CFF year-on-year change?
Over the past year, IRM TTM cash flow from financing activities has changed by +$276.36 M (+71.85%)