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Peapack-Gladstone Financial (PGC) Cash From Investing

Annual CFI

-$147.48 M
+$208.59 M+58.58%

31 December 2023

PGC Cash From Investing Chart

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Quarterly CFI

-$123.72 M
-$186.05 M-298.50%

30 September 2024

PGC Quarterly CFI Chart

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TTM CFI

$70.61 M
-$72.63 M-50.71%

30 September 2024

PGC TTM CFI Chart

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PGC Cash From Investing Performance

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year+58.6%-142.1%+118.6%
3 y3 years+31.1%-216.3%+116.2%
5 y5 years+50.5%-7.5%+120.4%

PGC Cash From Investing High & Low

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3 yearsat high+80.4%-209.3%+59.8%-50.7%+109.4%
5 y5 yearsat high+80.4%-130.6%+79.8%-50.7%+106.9%
alltimeall time-2223.9%+80.4%-130.6%+79.8%-50.7%+106.9%

Peapack-Gladstone Financial Cash From Investing History

DateAnnualQuarterlyTTM
Sept 2024
-
-$123.72 M(-298.5%)
$70.61 M(-50.7%)
June 2024
-
$62.33 M(-20.8%)
$143.23 M(+2240.0%)
Mar 2024
-
$78.68 M(+47.6%)
$6.12 M(-104.2%)
Dec 2023
-$147.48 M(-58.6%)
$53.31 M(-204.3%)
-$147.48 M(-61.1%)
Sept 2023
-
-$51.09 M(-31.7%)
-$379.49 M(+16.4%)
June 2023
-
-$74.78 M(-0.2%)
-$326.02 M(+136.1%)
Mar 2023
-
-$74.92 M(-58.1%)
-$138.09 M(-61.2%)
Dec 2022
-$356.07 M(-52.8%)
-$178.69 M(-7636.4%)
-$356.07 M(-26.6%)
Sept 2022
-
$2.37 M(-97.9%)
-$485.13 M(-7.9%)
June 2022
-
$113.14 M(-138.6%)
-$526.61 M(-27.8%)
Mar 2022
-
-$292.89 M(-4.8%)
-$729.18 M(-3.3%)
Dec 2021
-$753.80 M(+252.3%)
-$307.75 M(+686.8%)
-$753.80 M(+73.3%)
Sept 2021
-
-$39.11 M(-56.3%)
-$435.05 M(-5192.4%)
June 2021
-
-$89.42 M(-71.8%)
$8.54 M(-101.7%)
Mar 2021
-
-$317.51 M(-2986.7%)
-$513.28 M(+139.9%)
Dec 2020
-$214.00 M(-56.1%)
$11.00 M(-97.3%)
-$214.00 M(-57.3%)
Sept 2020
-
$404.48 M(-166.2%)
-$501.20 M(-50.9%)
June 2020
-
-$611.25 M(+3253.7%)
-$1.02 B(+91.3%)
Mar 2020
-
-$18.23 M(-93.4%)
-$533.61 M(+9.6%)
Dec 2019
-$486.96 M(+63.6%)
-$276.20 M(+140.0%)
-$486.96 M(+40.4%)
Sept 2019
-
-$115.06 M(-7.3%)
-$346.73 M(+2.5%)
June 2019
-
-$124.12 M(-536.7%)
-$338.32 M(+46.0%)
Mar 2019
-
$28.42 M(-120.9%)
-$231.77 M(-22.1%)
Dec 2018
-$297.71 M(-31.6%)
-$135.97 M(+27.5%)
-$297.71 M(+35.0%)
Sept 2018
-
-$106.65 M(+507.1%)
-$220.46 M(+79.3%)
June 2018
-
-$17.57 M(-53.2%)
-$122.97 M(-64.7%)
Mar 2018
-
-$37.52 M(-36.1%)
-$348.43 M(-20.0%)
Dec 2017
-$435.51 M(+0.5%)
-$58.72 M(+540.7%)
-$435.51 M(-11.6%)
Sept 2017
-
-$9.16 M(-96.2%)
-$492.84 M(-14.4%)
June 2017
-
-$243.03 M(+95.0%)
-$575.96 M(+22.5%)
Mar 2017
-
-$124.60 M(+7.4%)
-$470.00 M(+8.5%)
Dec 2016
-$433.18 M(-30.7%)
-$116.05 M(+25.8%)
-$433.18 M(+2.6%)
Sept 2016
-
-$92.28 M(-32.7%)
-$422.08 M(-3.9%)
June 2016
-
-$137.07 M(+56.2%)
-$439.24 M(-24.1%)
Mar 2016
-
-$87.78 M(-16.4%)
-$578.99 M(-7.4%)
Dec 2015
-$625.43 M(-16.1%)
-$104.95 M(-4.1%)
-$625.43 M(-23.2%)
Sept 2015
-
-$109.45 M(-60.5%)
-$814.08 M(-9.4%)
June 2015
-
-$276.81 M(+106.2%)
-$898.28 M(+37.1%)
Mar 2015
-
-$134.22 M(-54.3%)
-$655.43 M(-12.0%)
Dec 2014
-$745.16 M(+82.8%)
-$293.61 M(+51.6%)
-$745.16 M(+18.7%)
Sept 2014
-
-$193.64 M(+470.1%)
-$627.56 M(+9.2%)
June 2014
-
-$33.96 M(-84.8%)
-$574.77 M(-9.5%)
Mar 2014
-
-$223.95 M(+27.2%)
-$635.45 M(+55.9%)
Dec 2013
-$407.69 M(-5971.1%)
-$176.01 M(+25.0%)
-$407.69 M(+58.3%)
Sept 2013
-
-$140.84 M(+48.8%)
-$257.61 M(+155.4%)
June 2013
-
-$94.64 M(-2584.1%)
-$100.88 M(-3478.3%)
Mar 2013
-
$3.81 M(-114.7%)
$2.99 M(-57.0%)
Dec 2012
$6.94 M(-105.9%)
-$25.93 M(-263.2%)
$6.94 M(-115.4%)
Sept 2012
-
$15.89 M(+72.3%)
-$45.03 M(-50.8%)
June 2012
-
$9.22 M(+18.7%)
-$91.59 M(+0.4%)
Mar 2012
-
$7.77 M(-110.0%)
-$91.23 M(-22.9%)
DateAnnualQuarterlyTTM
Dec 2011
-$118.39 M(+528.8%)
-$77.91 M(+154.0%)
-$118.39 M(+12.9%)
Sept 2011
-
-$30.67 M(-420.1%)
-$104.85 M(+87.2%)
June 2011
-
$9.58 M(-149.4%)
-$56.00 M(+107.1%)
Mar 2011
-
-$19.39 M(-69.9%)
-$27.04 M(+43.6%)
Dec 2010
-$18.83 M(-73.9%)
-$64.37 M(-454.0%)
-$18.83 M(-142.8%)
Sept 2010
-
$18.19 M(-52.8%)
$44.00 M(+16.9%)
June 2010
-
$38.54 M(-444.8%)
$37.63 M(-139.9%)
Mar 2010
-
-$11.18 M(+623.0%)
-$94.37 M(+30.8%)
Dec 2009
-$72.16 M(-5.6%)
-$1.55 M(-113.1%)
-$72.16 M(-38.0%)
Sept 2009
-
$11.82 M(-112.6%)
-$116.39 M(-15.1%)
June 2009
-
-$93.47 M(-947.4%)
-$137.16 M(+121.5%)
Mar 2009
-
$11.03 M(-124.1%)
-$61.93 M(-19.0%)
Dec 2008
-$76.42 M(+10.5%)
-$45.77 M(+411.5%)
-$76.42 M(+74.9%)
Sept 2008
-
-$8.95 M(-50.9%)
-$43.70 M(-44.6%)
June 2008
-
-$18.24 M(+427.7%)
-$78.89 M(+9.9%)
Mar 2008
-
-$3.46 M(-73.5%)
-$71.77 M(+3.8%)
Dec 2007
-$69.15 M(+149.0%)
-$13.05 M(-70.4%)
-$69.15 M(+2.8%)
Sept 2007
-
-$44.14 M(+297.0%)
-$67.30 M(-378.4%)
June 2007
-
-$11.12 M(+1226.7%)
$24.18 M(+2000.5%)
Mar 2007
-
-$838.00 K(-92.5%)
$1.15 M(-104.1%)
Dec 2006
-$27.77 M(-85.0%)
-$11.20 M(-123.7%)
-$27.77 M(-59.9%)
Sept 2006
-
$47.34 M(-238.6%)
-$69.27 M(-53.1%)
June 2006
-
-$34.14 M(+14.7%)
-$147.81 M(-2.8%)
Mar 2006
-
-$29.76 M(-43.5%)
-$152.13 M(-18.1%)
Dec 2005
-$185.67 M(+29.9%)
-$52.70 M(+68.9%)
-$185.67 M(+16.2%)
Sept 2005
-
-$31.21 M(-18.9%)
-$159.74 M(-17.3%)
June 2005
-
-$38.47 M(-39.2%)
-$193.07 M(-14.8%)
Mar 2005
-
-$63.29 M(+136.4%)
-$226.51 M(+58.5%)
Dec 2004
-$142.89 M(+11.3%)
-$26.77 M(-58.5%)
-$142.89 M(+7.4%)
Sept 2004
-
-$64.54 M(-10.3%)
-$133.02 M(+92.8%)
June 2004
-
-$71.91 M(-453.7%)
-$69.01 M(-1.2%)
Mar 2004
-
$20.33 M(-220.3%)
-$69.81 M(-45.6%)
Dec 2003
-$128.34 M(-5.7%)
-$16.90 M(+3113.1%)
-$128.34 M(-10.2%)
Sept 2003
-
-$526.00 K(-99.3%)
-$142.99 M(-10.9%)
June 2003
-
-$72.72 M(+90.4%)
-$160.44 M(+28.9%)
Mar 2003
-
-$38.19 M(+21.1%)
-$124.42 M(-8.6%)
Dec 2002
-$136.12 M(-19.2%)
-$31.55 M(+75.5%)
-$136.12 M(-4.6%)
Sept 2002
-
-$17.98 M(-51.0%)
-$142.67 M(-24.2%)
June 2002
-
-$36.70 M(-26.4%)
-$188.28 M(-0.2%)
Mar 2002
-
-$49.89 M(+31.0%)
-$188.57 M(+12.0%)
Dec 2001
-$168.43 M(+230.1%)
-$38.10 M(-40.1%)
-$168.43 M(+16.0%)
Sept 2001
-
-$63.59 M(+71.9%)
-$145.22 M(+51.3%)
June 2001
-
-$36.99 M(+24.3%)
-$95.95 M(+49.4%)
Mar 2001
-
-$29.76 M(+100.0%)
-$64.22 M(+25.9%)
Dec 2000
-$51.02 M(+63.5%)
-$14.88 M(+3.8%)
-$51.02 M(+41.2%)
Sept 2000
-
-$14.33 M(+172.4%)
-$36.14 M(+65.7%)
June 2000
-
-$5.26 M(-68.2%)
-$21.81 M(+31.8%)
Mar 2000
-
-$16.55 M
-$16.55 M
Dec 1999
-$31.20 M(+25.4%)
-
-
Dec 1998
-$24.87 M(-19.2%)
-
-
Dec 1997
-$30.78 M
-
-

FAQ

  • What is Peapack-Gladstone Financial annual cash flow from investing activities?
  • What is the all time high annual CFI for Peapack-Gladstone Financial?
  • What is Peapack-Gladstone Financial annual CFI year-on-year change?
  • What is Peapack-Gladstone Financial quarterly cash flow from investing activities?
  • What is the all time high quarterly CFI for Peapack-Gladstone Financial?
  • What is Peapack-Gladstone Financial quarterly CFI year-on-year change?
  • What is Peapack-Gladstone Financial TTM cash flow from investing activities?
  • What is the all time high TTM CFI for Peapack-Gladstone Financial?
  • What is Peapack-Gladstone Financial TTM CFI year-on-year change?

What is Peapack-Gladstone Financial annual cash flow from investing activities?

The current annual CFI of PGC is -$147.48 M

What is the all time high annual CFI for Peapack-Gladstone Financial?

Peapack-Gladstone Financial all-time high annual cash flow from investing activities is $6.94 M

What is Peapack-Gladstone Financial annual CFI year-on-year change?

Over the past year, PGC annual cash flow from investing activities has changed by +$208.59 M (+58.58%)

What is Peapack-Gladstone Financial quarterly cash flow from investing activities?

The current quarterly CFI of PGC is -$123.72 M

What is the all time high quarterly CFI for Peapack-Gladstone Financial?

Peapack-Gladstone Financial all-time high quarterly cash flow from investing activities is $404.48 M

What is Peapack-Gladstone Financial quarterly CFI year-on-year change?

Over the past year, PGC quarterly cash flow from investing activities has changed by -$72.63 M (-142.14%)

What is Peapack-Gladstone Financial TTM cash flow from investing activities?

The current TTM CFI of PGC is $70.61 M

What is the all time high TTM CFI for Peapack-Gladstone Financial?

Peapack-Gladstone Financial all-time high TTM cash flow from investing activities is $143.23 M

What is Peapack-Gladstone Financial TTM CFI year-on-year change?

Over the past year, PGC TTM cash flow from investing activities has changed by +$450.09 M (+118.61%)