Safehold Inc. company logo
Safehold Inc. logo

Safehold Inc. (SAFE) Cash From Financing

Annual CFF

$182.73M$336.67M-64.82%

Summary

Current Value
As of today, SAFE annual cash from financing is $182.73M, down -64.82% on
Historical Performance
SAFE annual cash from financing is up +169.94% over the past 3 years, and up +200.71% over the past 5 years
All-Time High Comparison
SAFE annual cash from financing is currently -95.63% below its historical high of $4.18B set on
3-Year Low Comparison
SAFE annual cash from financing is +110.22% above its 3-year low of -$1.79B reached on an earlier date
Sector Comparison
SAFE annual cash from financing is higher than 84.62% of companies in Real Estate sector

Cash From Financing Chart

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Series
SUGGESTED SERIES

Performance

SAFE Performance
MetricDateValue1Y3Y5Y15Y
Annual Cash From Financing$182.73M-64.8%+169.9%+200.7%+117.0%
Quarterly Cash From Financing$55.83M-38.5%+141.6%+413.1%+140.0%
TTM Cash From Financing$173.87M-32.8%+109.3%+124.6%+106.8%
Price$14.87-10.2%-70.9%-79.3%-62.1%
Annual Cash From Operations$90.28M+486.6%+513.8%+422.3%+18.4%
Annual Cash From Investing-$302.63M+43.6%-161.8%+34.0%-141.7%
Annual Dividends Paid$50.59M+9.9%+40.7%+204.3%+19.5%
Annual Total Debt$4.39B+6.2%+69.2%+20.1%-60.0%
Shares Outstanding71.76M+0.4%+15.0%+34.9%

Cash From Financing Highs

SAFE Annual Cash From Financing Highs Comparison
PeriodHighDateCurrent
3Y$519.40M-64.8%
5Y$519.40M-64.8%
All$4.18B-95.6%

Cash From Financing Lows

SAFE Annual Cash From Financing Lows Comparison
PeriodLowDateCurrent
3Y-$1.79BN/A+110.2%
5Y-$1.79B+110.2%
All-$3.41B+105.4%

Cash From Financing History

YearValueChange
$182.73M-64.8%
$519.40M+129.0%
-$1.79B-584.6%
-$261.26M-2.3%
-$255.47M-40.8%
-$181.44M+60.4%
-$457.94M-1,004.0%
-$41.48M+95.2%
-$870.36M-860.3%
$114.48M+160.0%
-$190.96M+58.1%
-$455.76M+63.5%
-$1.25B+21.2%
-$1.59B+53.5%
-$3.41B-217.5%
-$1.07B>-9,900.0%
$1.44M-100.0%
$4.18B+100.2%
YearValueChange
$2.09B+127.7%
$917.15M+729.0%
$110.63M-84.2%
$700.25M-12.5%
$800.54M+1,527.7%
$49.18M+279.0%
-$27.47M-160.2%
$45.66M-96.3%
$1.23B>+9,900.0%
$3.03M>+9,900.0%
$0.000.0%
$0.00-100.0%
$101.00K+100.3%
-$39.50M-721.8%
-$4.81M+12.8%
-$5.51M-4.0%
-$5.30M-126.6%
$19.90M-

FAQ

  • What is the current annual cash from financing of SAFE?

    As of today, SAFE annual cash from financing is $182.73M

  • What is 1-year change in SAFE annual cash from financing?

    SAFE annual cash from financing is down -64.82% year-over-year

  • What is 3-year change in SAFE annual cash from financing?

    SAFE annual cash from financing is up +169.94% over the past 3 years

  • How far is SAFE annual cash from financing from its all-time high?

    SAFE annual cash from financing is currently -95.63% below its historical high of $4.18B set on December 1, 2007

  • How does SAFE annual cash from financing rank versus sector peers?

    SAFE annual cash from financing is higher than 84.62% of companies in Real Estate sector

  • When is SAFE next annual earnings release?

    The next annual earnings release for SAFE is on

Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

Data Sources & References

  1. SAFE Official Website www.safeholdinc.com
  2. SAFE Profile on Yahoo Finance finance.yahoo.com/quote/SAFE
  3. SAFE Profile on NASDAQ.com www.nasdaq.com/market-activity/stocks/safe