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Safehold Inc. (SAFE) Cash From Financing

Annual CFF:

$182.72M-$336.67M(-64.82%)
December 31, 2024

Summary

  • As of today, SAFE annual cash from financing is $182.72 million, with the most recent change of -$336.67 million (-64.82%) on December 31, 2024.
  • During the last 3 years, SAFE annual cash from financing has risen by +$443.99 million (+169.94%).
  • SAFE annual cash from financing is now -95.63% below its all-time high of $4.18 billion, reached on December 1, 2007.

Performance

SAFE Cash From Financing Chart

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Quarterly CFF:

$85.91M+$78.82M(+1111.75%)
June 30, 2025

Summary

  • As of today, SAFE quarterly cash from financing is $85.91 million, with the most recent change of +$78.82 million (+1111.75%) on June 30, 2025.
  • Over the past year, SAFE quarterly cash from financing has increased by +$89.27 million (+2663.04%).
  • SAFE quarterly cash from financing is now -96.68% below its all-time high of $2.59 billion, reached on September 1, 2007.

Performance

SAFE Quarterly Cash From Financing Chart

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TTM CFF:

$208.88M+$89.27M(+74.63%)
June 30, 2025

Summary

  • As of today, SAFE TTM cash from financing is $208.88 million, with the most recent change of +$89.27 million (+74.63%) on June 30, 2025.
  • Over the past year, SAFE TTM cash from financing has dropped by -$48.48 million (-18.84%).
  • SAFE TTM cash from financing is now -95.13% below its all-time high of $4.29 billion, reached on September 1, 2007.

Performance

SAFE TTM Cash From Financing Chart

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Cash From Financing Formula

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

SAFE Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1Y1 Year-64.8%+2663.0%-18.8%
3Y3 Years+169.9%+120.9%+111.4%
5Y5 Years+200.7%+125.5%+129.6%

SAFE Cash From Financing Highs & Lows

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
3Y3-Year-64.8%+110.2%-66.0%+164.0%-59.8%+111.1%
5Y5-Year-64.8%+110.2%-66.0%+106.9%-59.8%+111.1%
All-TimeAll-Time-95.6%+105.4%-96.7%+104.9%-95.1%+106.1%

SAFE Cash From Financing History

DateAnnualQuarterlyTTM
Jun 2025
-
$85.91M(+1111.7%)
$208.88M(+74.6%)
Mar 2025
-
$7.09M(-71.7%)
$119.61M(-34.5%)
Dec 2024
$182.72M(-64.8%)
$25.04M(-72.4%)
$182.72M(-29.4%)
Sep 2024
-
$90.83M(+2809.8%)
$258.83M(+0.6%)
Jun 2024
-
-$3.35M(-104.8%)
$257.36M(-23.6%)
Mar 2024
-
$70.20M(-30.6%)
$336.87M(-35.1%)
Dec 2023
$519.40M(+129.0%)
$101.15M(+13.2%)
$519.40M(+26.0%)
Sep 2023
-
$89.36M(+17.3%)
$412.35M(+118.4%)
Jun 2023
-
$76.16M(-69.9%)
$188.80M(+163.4%)
Mar 2023
-
$252.73M(+4384.3%)
-$297.98M(+83.3%)
Dec 2022
-$1.79B(-584.6%)
-$5.90M(+95.6%)
-$1.79B(+4.8%)
Sep 2022
-
-$134.19M(+67.3%)
-$1.88B(-2.8%)
Jun 2022
-
-$410.62M(+66.8%)
-$1.83B(-25.0%)
Mar 2022
-
-$1.24B(-1184.0%)
-$1.46B(-459.8%)
Dec 2021
-$261.26M(-2.3%)
-$96.41M(-15.2%)
-$261.26M(-21.4%)
Sep 2021
-
-$83.69M(-87.3%)
-$215.19M(-44.1%)
Jun 2021
-
-$44.69M(-22.5%)
-$149.33M(+66.2%)
Mar 2021
-
-$36.48M(+27.5%)
-$441.27M(-72.7%)
Dec 2020
-$255.47M(-40.8%)
-$50.34M(-182.3%)
-$255.47M(+63.8%)
Sep 2020
-
-$17.83M(+94.7%)
-$705.88M(-1569.0%)
Jun 2020
-
-$336.62M(-325.4%)
$48.05M(-84.9%)
Mar 2020
-
$149.32M(+129.8%)
$318.85M(+275.7%)
Dec 2019
-$181.44M(+60.4%)
-$500.74M(-168.0%)
-$181.44M(-162.7%)
Sep 2019
-
$736.10M(+1218.3%)
$289.38M(+140.3%)
Jun 2019
-
-$65.83M(+81.2%)
-$718.62M(-63.8%)
Mar 2019
-
-$350.97M(-1072.8%)
-$438.74M(+4.2%)
Dec 2018
-$457.94M(-1004.0%)
-$29.93M(+89.0%)
-$457.94M(+69.9%)
Sep 2018
-
-$271.90M(-227.0%)
-$1.52B(-306.5%)
Jun 2018
-
$214.06M(+157.8%)
-$373.91M(+57.8%)
Mar 2018
-
-$370.17M(+66.1%)
-$886.58M(-2037.4%)
Dec 2017
-$41.48M(+95.2%)
-$1.09B(-224.9%)
-$41.48M(-106.1%)
Sep 2017
-
$874.15M(+392.7%)
$680.49M(+384.0%)
Jun 2017
-
-$298.61M(-162.9%)
-$239.62M(+21.5%)
Mar 2017
-
$474.92M(+228.4%)
-$305.41M(+64.9%)
Dec 2016
-$870.36M(-860.3%)
-$369.97M(-704.9%)
-$870.36M(-52.0%)
Sep 2016
-
-$45.96M(+87.4%)
-$572.44M(-0.3%)
Jun 2016
-
-$364.40M(-304.7%)
-$570.72M(-189.3%)
Mar 2016
-
-$90.03M(-25.0%)
-$197.25M(-272.3%)
Dec 2015
$114.48M(+160.0%)
-
-
Dec 2015
-
-$72.05M(-62.8%)
$114.48M(-25.5%)
Sep 2015
-
-$44.24M(-587.6%)
$153.71M(-10.7%)
Jun 2015
-
$9.07M(-95.9%)
$172.08M(+63.3%)
Mar 2015
-
$221.70M(+775.4%)
$105.35M(+155.2%)
Dec 2014
-$190.96M(+58.1%)
-$32.82M(-26.9%)
-$190.96M(+36.6%)
Sep 2014
-
-$25.87M(+55.1%)
-$300.98M(+32.4%)
Jun 2014
-
-$57.66M(+22.7%)
-$445.42M(+13.4%)
Mar 2014
-
-$74.61M(+47.8%)
-$514.63M(-12.9%)
Dec 2013
-$455.76M(+63.5%)
-$142.85M(+16.1%)
-$455.76M(+57.6%)
Sep 2013
-
-$170.30M(-34.2%)
-$1.07B(+5.0%)
Jun 2013
-
-$126.87M(-706.3%)
-$1.13B(+18.0%)
Mar 2013
-
-$15.74M(+97.9%)
-$1.38B(-10.4%)
Dec 2012
-$1.25B(+21.2%)
-$761.28M(-235.2%)
-$1.25B(-93.1%)
Sep 2012
-
-$227.09M(+39.5%)
-$647.47M(+29.2%)
Jun 2012
-
-$375.66M(-430.3%)
-$914.00M(+18.2%)
Mar 2012
-
$113.73M(+171.8%)
-$1.12B(+29.6%)
Dec 2011
-$1.59B(+53.5%)
-$158.45M(+67.9%)
-$1.59B(+38.8%)
Sep 2011
-
-$493.62M(+14.8%)
-$2.60B(-15.8%)
Jun 2011
-
-$579.55M(-62.8%)
-$2.24B(+34.2%)
Mar 2011
-
-$356.06M(+69.5%)
-$3.40B(+0.2%)
Dec 2010
-$3.41B(-217.5%)
-$1.17B(-735.1%)
-$3.41B(-33.3%)
Sep 2010
-
-$139.68M(+92.0%)
-$2.56B(+10.3%)
Jun 2010
-
-$1.74B(-380.8%)
-$2.85B(-114.2%)
Mar 2010
-
-$362.45M(-15.2%)
-$1.33B(-24.0%)
Dec 2009
-$1.07B(>-9900.0%)
-$314.68M(+27.6%)
-$1.07B(+4.0%)
Sep 2009
-
-$434.44M(-96.5%)
-$1.12B(-1345.5%)
Jun 2009
-
-$221.07M(-112.1%)
$89.83M(+159.3%)
Mar 2009
-
-$104.21M(+71.0%)
-$151.52M(>-9900.0%)
Dec 2008
$1.44M(-100.0%)
-$359.21M(-146.4%)
$1.44M(-99.8%)
Sep 2008
-
$774.32M(+267.4%)
$957.41M(-65.4%)
Jun 2008
-
-$462.42M(-1048.4%)
$2.77B(-15.3%)
Mar 2008
-
$48.76M(-91.8%)
$3.27B(-21.9%)
DateAnnualQuarterlyTTM
Dec 2007
$4.18B(+100.2%)
$596.76M(-76.9%)
$4.18B(-2.4%)
Sep 2007
-
$2.59B(+7094.7%)
$4.29B(+64.3%)
Jun 2007
-
$35.94M(-96.3%)
$2.61B(-6.9%)
Mar 2007
-
$964.10M(+37.4%)
$2.80B(+34.2%)
Dec 2006
$2.09B(+127.7%)
$701.59M(-22.7%)
$2.09B(+13.6%)
Sep 2006
-
$907.35M(+294.0%)
$1.84B(+287.4%)
Jun 2006
-
$230.27M(-7.7%)
$474.82M(+4.4%)
Mar 2006
-
$249.41M(-44.9%)
$454.71M(-50.4%)
Dec 2005
$917.15M(+729.0%)
$452.23M(+198.9%)
$917.15M(+418.8%)
Sep 2005
-
-$457.09M(-317.5%)
$176.79M(-36.2%)
Jun 2005
-
$210.17M(-70.5%)
$277.23M(-13.5%)
Mar 2005
-
$711.84M(+347.1%)
$320.65M(+189.8%)
Dec 2004
$110.63M(-84.2%)
-$288.13M(+19.2%)
$110.63M(-77.5%)
Sep 2004
-
-$356.65M(-240.6%)
$492.17M(-57.4%)
Jun 2004
-
$253.60M(-49.5%)
$1.16B(+13.6%)
Mar 2004
-
$501.82M(+437.3%)
$1.02B(+45.3%)
Dec 2003
$700.25M(-12.5%)
$93.40M(-69.6%)
$700.25M(-6.3%)
Sep 2003
-
$307.17M(+166.6%)
$747.12M(+78.8%)
Jun 2003
-
$115.22M(-37.5%)
$417.88M(-47.9%)
Mar 2003
-
$184.46M(+31.5%)
$801.50M(+0.1%)
Dec 2002
$800.54M(+1527.7%)
$140.27M(+735.6%)
$800.54M(+6.9%)
Sep 2002
-
-$22.07M(-104.4%)
$748.53M(-12.4%)
Jun 2002
-
$498.84M(+171.8%)
$854.51M(+167.2%)
Mar 2002
-
$183.50M(+107.9%)
$319.83M(+550.3%)
Dec 2001
$49.18M(+279.0%)
$88.26M(+5.2%)
$49.18M(+136.8%)
Sep 2001
-
$83.91M(+334.1%)
-$133.79M(+44.6%)
Jun 2001
-
-$35.84M(+58.9%)
-$241.47M(-72.5%)
Mar 2001
-
-$87.15M(+8.0%)
-$139.99M(-409.6%)
Dec 2000
-$27.47M(-160.2%)
-$94.71M(-298.5%)
-$27.47M(-117.7%)
Sep 2000
-
-$23.77M(-136.2%)
$155.01M(+80.6%)
Jun 2000
-
$65.64M(+158.7%)
$85.83M(+560.0%)
Mar 2000
-
$25.37M(-71.1%)
-$18.66M(-140.9%)
Dec 1999
$45.66M(-96.3%)
$87.77M(+194.4%)
$45.66M(-76.8%)
Sep 1999
-
-$92.95M(-139.2%)
$197.20M(-73.6%)
Jun 1999
-
-$38.85M(-143.3%)
$747.98M(-20.2%)
Mar 1999
-
$89.69M(-62.5%)
$937.42M(-23.6%)
Dec 1998
$1.23B(>+9900.0%)
$239.31M(-47.7%)
$1.23B(+24.2%)
Sep 1998
-
$457.83M(+204.0%)
$986.90M(+86.5%)
Jun 1998
-
$150.59M(-60.2%)
$529.06M(+39.8%)
Mar 1998
-
$378.48M(>+9900.0%)
$378.48M(+7624.0%)
Dec 1997
$3.03M(>+9900.0%)
$0.00(0.0%)
$4.90M(0.0%)
Sep 1997
-
$0.00(0.0%)
$4.90M(0.0%)
Jun 1997
-
$0.00(-100.0%)
$4.90M(0.0%)
Mar 1997
-
$4.90M(>+9900.0%)
$4.90M(>+9900.0%)
Dec 1996
$0.00(0.0%)
$0.00(0.0%)
$0.00(0.0%)
Sep 1996
-
$0.00(0.0%)
$0.00(0.0%)
Jun 1996
-
$0.00(0.0%)
$0.00(0.0%)
Mar 1996
-
$0.00(0.0%)
$0.00(0.0%)
Dec 1995
$0.00(-100.0%)
$0.00(0.0%)
$0.00(0.0%)
Sep 1995
-
$0.00(0.0%)
$0.00(0.0%)
Jun 1995
-
$0.00(0.0%)
$0.00(0.0%)
Mar 1995
-
$0.00(0.0%)
$0.00(+100.0%)
Dec 1994
$101.00K(+100.3%)
-
-
Jun 1994
-
$0.00(0.0%)
-$37.50M(+1.1%)
Mar 1994
-
$0.00(+100.0%)
-$37.90M(+4.1%)
Dec 1993
-$39.50M(-721.8%)
-$37.50M(>-9900.0%)
-$39.50M(-1134.4%)
Sep 1993
-
$0.00(+100.0%)
-$3.20M(+25.6%)
Jun 1993
-
-$400.00K(+75.0%)
-$4.30M(+15.7%)
Mar 1993
-
-$1.60M(-33.3%)
-$5.10M(-6.3%)
Dec 1992
-$4.81M(+12.8%)
-$1.20M(-9.1%)
-$4.80M(0.0%)
Sep 1992
-
-$1.10M(+8.3%)
-$4.80M(+12.7%)
Jun 1992
-
-$1.20M(+7.7%)
-$5.50M(0.0%)
Mar 1992
-
-$1.30M(-8.3%)
-$5.50M(0.0%)
Dec 1991
-$5.51M(-4.0%)
-$1.20M(+33.3%)
-$5.50M(0.0%)
Sep 1991
-
-$1.80M(-50.0%)
-$5.50M(-7.8%)
Jun 1991
-
-$1.20M(+7.7%)
-$5.10M(+1.9%)
Mar 1991
-
-$1.30M(-8.3%)
-$5.20M(+1.9%)
Dec 1990
-$5.30M(-126.6%)
-$1.20M(+14.3%)
-$5.30M(-29.3%)
Sep 1990
-
-$1.40M(-7.7%)
-$4.10M(-51.9%)
Jun 1990
-
-$1.30M(+7.1%)
-$2.70M(-92.9%)
Mar 1990
-
-$1.40M
-$1.40M
Dec 1989
$19.90M
-
-

FAQ

  • What is Safehold Inc. annual cash from financing?
  • What is the all-time high annual cash from financing for Safehold Inc.?
  • What is Safehold Inc. annual cash from financing year-on-year change?
  • What is Safehold Inc. quarterly cash from financing?
  • What is the all-time high quarterly cash from financing for Safehold Inc.?
  • What is Safehold Inc. quarterly cash from financing year-on-year change?
  • What is Safehold Inc. TTM cash from financing?
  • What is the all-time high TTM cash from financing for Safehold Inc.?
  • What is Safehold Inc. TTM cash from financing year-on-year change?

What is Safehold Inc. annual cash from financing?

The current annual cash from financing of SAFE is $182.72M

What is the all-time high annual cash from financing for Safehold Inc.?

Safehold Inc. all-time high annual cash from financing is $4.18B

What is Safehold Inc. annual cash from financing year-on-year change?

Over the past year, SAFE annual cash from financing has changed by -$336.67M (-64.82%)

What is Safehold Inc. quarterly cash from financing?

The current quarterly cash from financing of SAFE is $85.91M

What is the all-time high quarterly cash from financing for Safehold Inc.?

Safehold Inc. all-time high quarterly cash from financing is $2.59B

What is Safehold Inc. quarterly cash from financing year-on-year change?

Over the past year, SAFE quarterly cash from financing has changed by +$89.27M (+2663.04%)

What is Safehold Inc. TTM cash from financing?

The current TTM cash from financing of SAFE is $208.88M

What is the all-time high TTM cash from financing for Safehold Inc.?

Safehold Inc. all-time high TTM cash from financing is $4.29B

What is Safehold Inc. TTM cash from financing year-on-year change?

Over the past year, SAFE TTM cash from financing has changed by -$48.48M (-18.84%)
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