Sabra Health Care REIT Free Cash Flow
Sabra Health Care REIT Free Cash Flow Chart
Sabra Health Care REIT Historical Free Cash Flow DataPro Data Export
There is no data for the selected date range.
|Data for this Date Range|
|Dec. 31, 2012||-99.02M|
|Sept. 30, 2012||-18.68M|
|June 30, 2012||-18.08M|
|March 31, 2012||-13.39M|
|Dec. 31, 2011||-6.604M|
|Sept. 30, 2011||-97.12M|
|June 30, 2011||-68.53M|
About Free Cash Flow
Free cash flow is the amount of cash generated by a business that is available for distribution among its security holders. Security holders include debt holders, equity holders, preferred stock holders, and convertible security holders. Specifically, free cash flow is used to pay dividends, make acquisitions, develop new products, invest in new property, plant and equipment, pay interest expenses, and reduce debt.
According to many investors, free cash flow is the best indication of a company's ability to generate cash.
SBRA Free Cash Flow Benchmarks
|Omega Healthcare Investors||49.27M|
|Medical Properties Trust||13.52M|
|Healthcare Trust of America||-64.33M|
SBRA Free Cash Flow Range, Past 5 Years
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GlobeNewswire May 23