Annual CFF
$66.40 M
-$718.90 M-91.54%
31 December 2022
Summary:
Oak Street Health annual cash flow from financing activities is currently $66.40 million, with the most recent change of -$718.90 million (-91.54%) on 31 December 2022. During the last 3 years, it has fallen by -$718.90 million (-91.54%).OSH Cash From Financing Chart
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Quarterly CFF
$1.70 M
-$61.80 M-97.32%
31 December 2022
Summary:
Oak Street Health quarterly cash flow from financing activities is currently $1.70 million, with the most recent change of -$61.80 million (-97.32%) on 31 December 2022.OSH Quarterly CFF Chart
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TTM CFF
$66.40 M
-$3.20 M-4.60%
31 December 2022
Summary:
Oak Street Health TTM cash flow from financing activities is currently $66.40 million, with the most recent change of -$3.20 million (-4.60%) on 31 December 2022.OSH TTM CFF Chart
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OSH Cash From Financing Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | - | - | - |
3 y3 years | -91.5% | -65.3% | -91.5% |
5 y5 years | +23.9% | -91.5% | +23.9% |
OSH 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 | ||||||
5 y | 5 years | ||||||
alltime | all time | -91.5% | -99.8% | -93.7% |
Oak Street Health Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Dec 2022 | $66.40 M(-91.5%) | $1.70 M(-97.3%) | $66.40 M(-4.6%) |
Sept 2022 | - | $63.50 M(-9171.4%) | $69.60 M(+625.0%) |
June 2022 | - | -$700.00 K(-136.8%) | $9.60 M(-23.2%) |
Mar 2022 | - | $1.90 M(-61.2%) | $12.50 M(-98.4%) |
Dec 2021 | $785.30 M(+64.9%) | $4.90 M(+40.0%) | $785.30 M(+0.8%) |
Sept 2021 | - | $3.50 M(+59.1%) | $779.00 M(-25.7%) |
June 2021 | - | $2.20 M(-99.7%) | $1.05 B(+2.1%) |
Mar 2021 | - | $774.70 M(<-9900.0%) | $1.03 B(+115.5%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Dec 2020 | $476.30 M(+788.6%) | -$1.40 M(-100.5%) | $476.30 M(-4.3%) |
Sept 2020 | - | $272.70 M(-1505.7%) | $497.70 M(+121.2%) |
June 2020 | - | -$19.40 M(-108.6%) | $225.00 M(-18.3%) |
Mar 2020 | - | $224.40 M(+1022.2%) | $275.35 M(+413.7%) |
Dec 2019 | $53.60 M(-65.9%) | $20.00 M(>+9900.0%) | $53.60 M(+59.5%) |
Sept 2019 | - | $0.00(-100.0%) | $33.60 M(0.0%) |
June 2019 | - | $30.96 M(+1070.0%) | $33.60 M(+1170.0%) |
Mar 2019 | - | $2.65 M | $2.65 M |
Dec 2018 | $157.25 M | - | - |
FAQ
- What is Oak Street Health annual cash flow from financing activities?
- What is the all time high annual CFF for Oak Street Health?
- What is Oak Street Health quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Oak Street Health?
- What is Oak Street Health TTM cash flow from financing activities?
- What is the all time high TTM CFF for Oak Street Health?
What is Oak Street Health annual cash flow from financing activities?
The current annual CFF of OSH is $66.40 M
What is the all time high annual CFF for Oak Street Health?
Oak Street Health all-time high annual cash flow from financing activities is $785.30 M
What is Oak Street Health quarterly cash flow from financing activities?
The current quarterly CFF of OSH is $1.70 M
What is the all time high quarterly CFF for Oak Street Health?
Oak Street Health all-time high quarterly cash flow from financing activities is $774.70 M
What is Oak Street Health TTM cash flow from financing activities?
The current TTM CFF of OSH is $66.40 M
What is the all time high TTM CFF for Oak Street Health?
Oak Street Health all-time high TTM cash flow from financing activities is $1.05 B