Annual CFF
$75.00 M
-$205.44 M-73.26%
31 December 2023
Summary:
Peapack-Gladstone Financial annual cash flow from financing activities is currently $75.00 million, with the most recent change of -$205.44 million (-73.26%) on 31 December 2023. During the last 3 years, it has fallen by -$547.41 million (-87.95%). PGC annual CFF is now -89.50% below its all-time high of $713.96 million, reached on 31 December 2014.PGC Cash From Financing Chart
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Quarterly CFF
$275.97 M
+$218.26 M+378.20%
30 September 2024
Summary:
Peapack-Gladstone Financial quarterly cash flow from financing activities is currently $275.97 million, with the most recent change of +$218.26 million (+378.20%) on 30 September 2024. Over the past year, it has increased by +$233.37 million (+547.86%). PGC quarterly CFF is now -52.14% below its all-time high of $576.66 million, reached on 31 March 2020.PGC Quarterly CFF Chart
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TTM CFF
$188.22 M
+$233.37 M+516.90%
30 September 2024
Summary:
Peapack-Gladstone Financial TTM cash flow from financing activities is currently $188.22 million, with the most recent change of +$233.37 million (+516.90%) on 30 September 2024. Over the past year, it has dropped by -$188.78 million (-50.07%). PGC TTM CFF is now -85.25% below its all-time high of $1.28 billion, reached on 30 June 2020.PGC TTM CFF Chart
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PGC Cash From Financing Performance
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -73.3% | +547.9% | -50.1% |
3 y3 years | -88.0% | -36.9% | -34.1% |
5 y5 years | -73.3% | +1738.3% | -50.1% |
PGC 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 | -88.0% | at low | -36.9% | +263.6% | -51.1% | +239.0% |
5 y | 5 years | -88.0% | at low | -52.1% | +179.9% | -85.3% | +137.8% |
alltime | all time | -89.5% | +467.4% | -52.1% | +179.9% | -85.3% | +137.8% |
Peapack-Gladstone Financial Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Sept 2024 | - | $275.97 M(+378.2%) | $188.22 M(-516.9%) |
June 2024 | - | $57.71 M(-163.7%) | -$45.15 M(-60.0%) |
Mar 2024 | - | -$90.63 M(+65.3%) | -$112.77 M(-250.4%) |
Dec 2023 | $75.00 M(-73.3%) | -$54.83 M(-228.7%) | $75.00 M(-80.1%) |
Sept 2023 | - | $42.60 M(-529.8%) | $377.00 M(+49.9%) |
June 2023 | - | -$9.91 M(-110.2%) | $251.50 M(+69.4%) |
Mar 2023 | - | $97.14 M(-60.7%) | $148.45 M(-47.1%) |
Dec 2022 | $280.44 M(+63.2%) | $247.17 M(-398.1%) | $280.44 M(-307.1%) |
Sept 2022 | - | -$82.90 M(-26.6%) | -$135.39 M(-135.2%) |
June 2022 | - | -$112.96 M(-149.3%) | $384.85 M(+32.5%) |
Mar 2022 | - | $229.13 M(-235.9%) | $290.52 M(+69.1%) |
Dec 2021 | $171.82 M(-72.4%) | -$168.66 M(-138.6%) | $171.82 M(-39.8%) |
Sept 2021 | - | $437.34 M(-311.0%) | $285.45 M(-157.4%) |
June 2021 | - | -$207.29 M(-287.7%) | -$497.47 M(-418.5%) |
Mar 2021 | - | $110.42 M(-300.7%) | $156.17 M(-74.9%) |
Dec 2020 | $622.41 M(+38.9%) | -$55.02 M(-84.1%) | $622.41 M(-32.0%) |
Sept 2020 | - | -$345.58 M(-177.4%) | $915.55 M(-28.3%) |
June 2020 | - | $446.35 M(-22.6%) | $1.28 B(+26.9%) |
Mar 2020 | - | $576.66 M(+142.2%) | $1.01 B(+124.4%) |
Dec 2019 | $448.08 M(+59.6%) | $238.12 M(+1486.2%) | $448.08 M(+18.9%) |
Sept 2019 | - | $15.01 M(-91.5%) | $376.86 M(-24.4%) |
June 2019 | - | $175.72 M(+813.6%) | $498.66 M(+110.8%) |
Mar 2019 | - | $19.23 M(-88.5%) | $236.51 M(-15.8%) |
Dec 2018 | $280.79 M(-15.0%) | $166.90 M(+22.0%) | $280.79 M(+54.8%) |
Sept 2018 | - | $136.81 M(-258.3%) | $181.38 M(+354.1%) |
June 2018 | - | -$86.43 M(-236.1%) | $39.95 M(-88.1%) |
Mar 2018 | - | $63.50 M(-5.9%) | $336.47 M(+1.9%) |
Dec 2017 | $330.33 M(-31.6%) | $67.50 M(-1558.6%) | $330.33 M(-11.1%) |
Sept 2017 | - | -$4.63 M(-102.2%) | $371.54 M(-30.0%) |
June 2017 | - | $210.10 M(+266.2%) | $530.76 M(+18.4%) |
Mar 2017 | - | $57.37 M(-47.2%) | $448.27 M(-7.1%) |
Dec 2016 | $482.78 M(-23.9%) | $108.71 M(-29.7%) | $482.78 M(+3.2%) |
Sept 2016 | - | $154.59 M(+21.2%) | $467.61 M(+3.2%) |
June 2016 | - | $127.60 M(+38.9%) | $453.04 M(-18.4%) |
Mar 2016 | - | $91.87 M(-1.8%) | $555.39 M(-12.4%) |
Dec 2015 | $634.07 M(-11.2%) | $93.54 M(-33.2%) | $634.07 M(-14.3%) |
Sept 2015 | - | $140.02 M(-39.1%) | $739.88 M(+7.3%) |
June 2015 | - | $229.96 M(+34.8%) | $689.83 M(+14.3%) |
Mar 2015 | - | $170.56 M(-14.4%) | $603.70 M(-15.4%) |
Dec 2014 | $713.96 M(+145.4%) | $199.35 M(+121.6%) | $713.96 M(+4.5%) |
Sept 2014 | - | $89.96 M(-37.5%) | $683.00 M(-3.7%) |
June 2014 | - | $143.83 M(-48.8%) | $709.13 M(+16.8%) |
Mar 2014 | - | $280.81 M(+66.8%) | $607.08 M(+108.7%) |
Dec 2013 | $290.90 M(+466.1%) | $168.40 M(+45.1%) | $290.90 M(+41.1%) |
Sept 2013 | - | $116.09 M(+177.9%) | $206.19 M(+116.6%) |
June 2013 | - | $41.77 M(-218.1%) | $95.20 M(+136.0%) |
Mar 2013 | - | -$35.36 M(-142.3%) | $40.34 M(-21.5%) |
Dec 2012 | $51.38 M(-32.6%) | $83.68 M(+1538.5%) | $51.38 M(+372.1%) |
Sept 2012 | - | $5.11 M(-139.0%) | $10.88 M(-73.1%) |
June 2012 | - | -$13.08 M(-46.2%) | $40.38 M(-15.6%) |
Mar 2012 | - | -$24.32 M(-156.3%) | $47.84 M(-37.3%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Dec 2011 | $76.29 M(-473.8%) | $43.18 M(+24.8%) | $76.29 M(+20.2%) |
Sept 2011 | - | $34.61 M(-714.6%) | $63.46 M(+91.5%) |
June 2011 | - | -$5.63 M(-236.1%) | $33.13 M(+130.1%) |
Mar 2011 | - | $4.14 M(-86.4%) | $14.40 M(-170.6%) |
Dec 2010 | -$20.41 M(-117.4%) | $30.34 M(+608.0%) | -$20.41 M(-26.5%) |
Sept 2010 | - | $4.29 M(-117.6%) | -$27.78 M(+532.1%) |
June 2010 | - | -$24.36 M(-20.6%) | -$4.39 M(-108.8%) |
Mar 2010 | - | -$30.68 M(-233.5%) | $50.01 M(-57.4%) |
Dec 2009 | $117.44 M(+89.3%) | $22.97 M(-17.0%) | $117.44 M(-9.7%) |
Sept 2009 | - | $27.67 M(-7.9%) | $129.99 M(+15.3%) |
June 2009 | - | $30.04 M(-18.3%) | $112.73 M(+106.9%) |
Mar 2009 | - | $36.75 M(+3.5%) | $54.47 M(-12.2%) |
Dec 2008 | $62.05 M(+21.1%) | $35.52 M(+241.3%) | $62.05 M(+84.1%) |
Sept 2008 | - | $10.41 M(-136.9%) | $33.70 M(-18.8%) |
June 2008 | - | -$28.21 M(-163.6%) | $41.52 M(-45.3%) |
Mar 2008 | - | $44.33 M(+517.1%) | $75.92 M(+48.2%) |
Dec 2007 | $51.24 M(+319.0%) | $7.18 M(-60.6%) | $51.24 M(+2.0%) |
Sept 2007 | - | $18.23 M(+194.8%) | $50.24 M(-304.3%) |
June 2007 | - | $6.18 M(-68.5%) | -$24.59 M(-682.7%) |
Mar 2007 | - | $19.64 M(+217.7%) | $4.22 M(-65.5%) |
Dec 2006 | $12.23 M(-93.1%) | $6.18 M(-110.9%) | $12.23 M(-65.0%) |
Sept 2006 | - | -$56.60 M(-261.7%) | $34.93 M(-74.7%) |
June 2006 | - | $34.99 M(+26.5%) | $138.06 M(-0.8%) |
Mar 2006 | - | $27.65 M(-4.3%) | $139.17 M(-21.9%) |
Dec 2005 | $178.14 M(+95.6%) | $28.89 M(-37.9%) | $178.14 M(+9.4%) |
Sept 2005 | - | $46.52 M(+28.8%) | $162.83 M(+10.8%) |
June 2005 | - | $36.11 M(-45.8%) | $147.00 M(-6.8%) |
Mar 2005 | - | $66.63 M(+390.8%) | $157.72 M(+73.2%) |
Dec 2004 | $91.07 M(-7.8%) | $13.57 M(-55.8%) | $91.07 M(+2.0%) |
Sept 2004 | - | $30.69 M(-34.5%) | $89.27 M(+58.3%) |
June 2004 | - | $46.83 M(<-9900.0%) | $56.41 M(-13.9%) |
Mar 2004 | - | -$20.00 K(-100.2%) | $65.49 M(-33.7%) |
Dec 2003 | $98.73 M(-27.9%) | $11.78 M(-641.4%) | $98.73 M(-24.2%) |
Sept 2003 | - | -$2.17 M(-103.9%) | $130.17 M(-9.6%) |
June 2003 | - | $55.91 M(+68.3%) | $143.94 M(+15.2%) |
Mar 2003 | - | $33.22 M(-23.1%) | $124.94 M(-8.7%) |
Dec 2002 | $136.85 M(+9.5%) | $43.21 M(+272.6%) | $136.85 M(+3.6%) |
Sept 2002 | - | $11.60 M(-68.6%) | $132.04 M(-11.4%) |
June 2002 | - | $36.90 M(-18.2%) | $148.95 M(+8.8%) |
Mar 2002 | - | $45.13 M(+17.5%) | $136.92 M(+9.6%) |
Dec 2001 | $124.96 M(+102.8%) | $38.40 M(+34.7%) | $124.96 M(+1.3%) |
Sept 2001 | - | $28.51 M(+14.6%) | $123.39 M(+30.6%) |
June 2001 | - | $24.87 M(-25.0%) | $94.48 M(+22.2%) |
Mar 2001 | - | $33.18 M(-9.9%) | $77.33 M(+25.5%) |
Dec 2000 | $61.60 M(+282.6%) | $36.83 M(-9400.0%) | $61.60 M(+148.6%) |
Sept 2000 | - | -$396.00 K(-105.1%) | $24.77 M(-1.6%) |
June 2000 | - | $7.72 M(-55.8%) | $25.17 M(+44.2%) |
Mar 2000 | - | $17.45 M | $17.45 M |
Dec 1999 | $16.10 M(-43.5%) | - | - |
Dec 1998 | $28.50 M(-11.1%) | - | - |
Dec 1997 | $32.08 M | - | - |
FAQ
- What is Peapack-Gladstone Financial annual cash flow from financing activities?
- What is the all time high annual CFF for Peapack-Gladstone Financial?
- What is Peapack-Gladstone Financial annual CFF year-on-year change?
- What is Peapack-Gladstone Financial quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for Peapack-Gladstone Financial?
- What is Peapack-Gladstone Financial quarterly CFF year-on-year change?
- What is Peapack-Gladstone Financial TTM cash flow from financing activities?
- What is the all time high TTM CFF for Peapack-Gladstone Financial?
- What is Peapack-Gladstone Financial TTM CFF year-on-year change?
What is Peapack-Gladstone Financial annual cash flow from financing activities?
The current annual CFF of PGC is $75.00 M
What is the all time high annual CFF for Peapack-Gladstone Financial?
Peapack-Gladstone Financial all-time high annual cash flow from financing activities is $713.96 M
What is Peapack-Gladstone Financial annual CFF year-on-year change?
Over the past year, PGC annual cash flow from financing activities has changed by -$205.44 M (-73.26%)
What is Peapack-Gladstone Financial quarterly cash flow from financing activities?
The current quarterly CFF of PGC is $275.97 M
What is the all time high quarterly CFF for Peapack-Gladstone Financial?
Peapack-Gladstone Financial all-time high quarterly cash flow from financing activities is $576.66 M
What is Peapack-Gladstone Financial quarterly CFF year-on-year change?
Over the past year, PGC quarterly cash flow from financing activities has changed by +$233.37 M (+547.86%)
What is Peapack-Gladstone Financial TTM cash flow from financing activities?
The current TTM CFF of PGC is $188.22 M
What is the all time high TTM CFF for Peapack-Gladstone Financial?
Peapack-Gladstone Financial all-time high TTM cash flow from financing activities is $1.28 B
What is Peapack-Gladstone Financial TTM CFF year-on-year change?
Over the past year, PGC TTM cash flow from financing activities has changed by -$188.78 M (-50.07%)