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Granite Real Estate Investment Trust (GRT.UN)

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  • 87.550
  • +0.590+0.68%
15min DelayMarket Closed Jan 22 16:00 ET
5.30BMarket Cap18.51P/E (TTM)

Granite Real Estate Investment Trust (GRT.UN) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
14.35%121.99M
-5.11%72.81M
29.72%108.92M
8.12%338.61M
-6.33%71.23M
25.10%106.68M
13.11%76.73M
-0.07%83.96M
12.86%313.18M
16.04%76.04M
Net income from continuing operations
-39.19%68.01M
24.67%95.19M
-50.67%43.86M
161.29%361.88M
164.84%84.76M
227.45%111.85M
26.01%76.36M
657.39%88.93M
-11.12%138.5M
125.33%32M
Operating gains losses
189.23%35.47M
-622.93%-17.53M
551.12%48.14M
-122.36%-42.82M
-91.21%4.25M
-170.22%-39.75M
-72.83%3.35M
-114.39%-10.67M
-8.39%191.48M
-78.77%48.37M
Depreciation and amortization
-12.65%290K
-9.76%305K
6.44%314K
1.34%1.29M
-0.61%324K
7.10%332K
10.10%338K
-10.33%295K
-20.40%1.27M
-23.11%326K
Remuneration paid in stock
21.95%5.89M
366.67%1.76M
-25.17%1.42M
-47.52%5.36M
-141.06%-712K
1,113.32%4.83M
-184.40%-660K
-73.93%1.9M
6,215.57%10.21M
28.16%1.73M
Deferred tax
-221.18%-14.5M
37.09%11.04M
-64.52%2.23M
425.37%30.87M
346.88%4.58M
248.21%11.96M
6.96%8.05M
163.01%6.28M
85.10%-9.49M
104.48%1.02M
Other non cashItems
17.63%22.07M
15.13%21.69M
14.61%21.65M
16.47%77.56M
-2.00%21.07M
15.92%18.76M
26.47%18.84M
34.81%18.89M
46.09%66.59M
50.56%21.5M
Change In working capital
-7.14%12.77M
31.52%3.89M
91.28%-796K
-65.97%-7.74M
-614.41%-15.32M
3,984.46%13.75M
203.86%2.96M
-1,433.28%-9.13M
-4,471.57%-4.66M
43.13%-2.14M
-Change in receivables
17.08%4.03M
-103.50%-94K
408.15%7.48M
-2,879.50%-5.96M
-468.28%-9.66M
243.54%3.44M
-49.78%2.68M
-68.14%-2.43M
-111.95%-200K
-140.00%-1.7M
-Change in prepaid assets
57.54%-304K
-29.87%1.78M
-212.02%-2.1M
118.94%642K
39.11%-506K
-3,877.78%-716K
2,306.96%2.54M
72.22%-674K
-49.41%-3.39M
28.85%-831K
-Change in payables and accrued expense
-26.29%10.16M
206.41%4.07M
-54.54%-11.76M
-35.03%-2.33M
-1,000.77%-4.68M
209.87%13.78M
55.01%-3.82M
-522.49%-7.61M
58.97%-1.73M
110.91%520K
-Change in other working capital
59.50%-1.12M
-219.08%-1.86M
253.87%5.58M
-113.76%-90K
-252.24%-472K
-15.59%-2.76M
271.90%1.56M
-42.70%1.58M
-86.09%654K
93.56%-134K
Interest paid (cash flow from operating activities)
52.06%-6.16M
-33.36%-40.07M
48.90%-5.57M
-9.69%-79.48M
-3.61%-25.69M
-2.73%-12.85M
-26.30%-30.05M
4.17%-10.9M
-38.03%-72.46M
-11.58%-24.79M
Tax refund paid
15.77%-1.85M
-40.96%-3.47M
-43.71%-2.34M
-0.69%-8.32M
-2.73%-2.03M
-51.62%-2.19M
-24.73%-2.46M
43.06%-1.63M
54.35%-8.26M
38.10%-1.98M
Cash from discontinued investing activities
Operating cash flow
14.35%121.99M
-5.11%72.81M
29.72%108.92M
8.12%338.61M
-6.33%71.23M
25.10%106.68M
13.11%76.73M
-0.07%83.96M
12.86%313.18M
16.04%76.04M
Investing cash flow
Cash flow from continuing investing activities
23.94%-15.88M
-166.96%-54.61M
29.07%-5.75M
48.91%-65.46M
11.93%-16.01M
-184.81%-20.88M
57.37%-20.46M
85.16%-8.11M
83.29%-128.13M
79.99%-18.18M
Net PPE purchase and sale
-19.61%-61K
-295.45%-43K
161.76%42K
56.14%-125K
78.46%-28K
-34.21%-51K
131.43%22K
-44.68%-68K
64.68%-285K
-828.57%-130K
Net investment property transactions
23.48%-15.71M
-229.88%-54.4M
22.39%-5.75M
69.91%-58.94M
-2.26%-14.53M
-204.99%-20.53M
66.37%-16.49M
94.12%-7.4M
72.20%-195.92M
79.80%-14.2M
Net other investing changes
62.62%-114K
95.84%-166K
92.33%-49K
-109.39%-6.39M
62.04%-1.46M
45.92%-305K
-457.58%-3.99M
-100.90%-639K
211.49%68.08M
72.10%-3.85M
Cash from discontinued investing activities
Investing cash flow
23.94%-15.88M
-166.96%-54.61M
29.07%-5.75M
48.91%-65.46M
11.93%-16.01M
-184.81%-20.88M
57.37%-20.46M
85.16%-8.11M
83.29%-128.13M
79.99%-18.18M
Financing cash flow
Cash flow from continuing financing activities
-24.53%-64.75M
45.62%-52.56M
-104.04%-107.95M
-31.70%-267.5M
33.47%-65.95M
-29.01%-52M
-502.69%-96.64M
-11.07%-52.91M
-194.66%-203.11M
12.45%-99.14M
Net issuance payments of debt
-5,516.53%-13.26M
34,321.19%80.76M
4,940.43%9.1M
-161.33%-28.97M
-943.26%-28.31M
-102.21%-236K
-100.67%-236K
-104.47%-188K
-91.65%47.25M
-148.85%-2.71M
Net common stock issuance
--0
-83.17%-81M
---63.6M
-69.70%-45.81M
94.12%-1.59M
--0
---44.22M
--0
81.04%-26.99M
60.93%-26.99M
Cash dividends paid
0.51%-51.5M
-0.07%-52.1M
-1.49%-53.05M
-1.93%-207.85M
-1.64%-51.76M
-1.49%-51.76M
-2.06%-52.06M
-2.54%-52.27M
-0.80%-203.91M
-2.50%-50.93M
Interest paid (cash flow from financing activities)
--0
81.72%-17K
10.49%-401K
39.48%-555K
---14K
--0
-69.09%-93K
48.03%-448K
---917K
--0
Net other financing activities
----
-550.00%-208K
----
184.67%15.69M
184.98%15.73M
----
-3.23%-32K
----
-180.66%-18.54M
-168,118.18%-18.5M
Cash from discontinued financing activities
Financing cash flow
-24.53%-64.75M
45.62%-52.56M
-104.04%-107.95M
-31.70%-267.5M
33.47%-65.95M
-29.01%-52M
-502.69%-96.64M
-11.07%-52.91M
-194.66%-203.11M
12.45%-99.14M
Net cash flow
Beginning cash position
-14.65%86.42M
-12.07%123.06M
8.65%126.18M
-14.03%116.13M
-15.68%133.49M
-15.03%101.26M
19.42%139.94M
-14.03%116.13M
-66.44%135.08M
-42.29%158.31M
Current changes in cash
22.33%41.36M
14.89%-34.36M
-120.84%-4.78M
131.31%5.65M
73.99%-10.74M
-10.19%33.81M
-1,156.40%-40.37M
225.84%22.95M
93.42%-18.06M
70.22%-41.28M
Effect of exchange rate changes
109.40%148K
-235.57%-2.28M
94.28%1.67M
592.37%4.39M
483.00%3.42M
-204.79%-1.58M
191.26%1.68M
150.58%857K
-112.60%-891K
-42.36%-894K
End cash Position
-4.17%127.93M
-14.65%86.42M
-12.07%123.06M
8.65%126.18M
8.65%126.18M
-15.68%133.49M
-15.03%101.26M
19.42%139.94M
-14.03%116.13M
-14.03%116.13M
Free cash from
14.34%121.93M
-5.17%72.77M
29.82%108.92M
8.18%338.48M
-6.21%71.2M
25.10%106.63M
13.22%76.73M
-0.09%83.9M
13.09%312.9M
15.87%75.91M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 14.35%121.99M-5.11%72.81M29.72%108.92M8.12%338.61M-6.33%71.23M25.10%106.68M13.11%76.73M-0.07%83.96M12.86%313.18M16.04%76.04M
Net income from continuing operations -39.19%68.01M24.67%95.19M-50.67%43.86M161.29%361.88M164.84%84.76M227.45%111.85M26.01%76.36M657.39%88.93M-11.12%138.5M125.33%32M
Operating gains losses 189.23%35.47M-622.93%-17.53M551.12%48.14M-122.36%-42.82M-91.21%4.25M-170.22%-39.75M-72.83%3.35M-114.39%-10.67M-8.39%191.48M-78.77%48.37M
Depreciation and amortization -12.65%290K-9.76%305K6.44%314K1.34%1.29M-0.61%324K7.10%332K10.10%338K-10.33%295K-20.40%1.27M-23.11%326K
Remuneration paid in stock 21.95%5.89M366.67%1.76M-25.17%1.42M-47.52%5.36M-141.06%-712K1,113.32%4.83M-184.40%-660K-73.93%1.9M6,215.57%10.21M28.16%1.73M
Deferred tax -221.18%-14.5M37.09%11.04M-64.52%2.23M425.37%30.87M346.88%4.58M248.21%11.96M6.96%8.05M163.01%6.28M85.10%-9.49M104.48%1.02M
Other non cashItems 17.63%22.07M15.13%21.69M14.61%21.65M16.47%77.56M-2.00%21.07M15.92%18.76M26.47%18.84M34.81%18.89M46.09%66.59M50.56%21.5M
Change In working capital -7.14%12.77M31.52%3.89M91.28%-796K-65.97%-7.74M-614.41%-15.32M3,984.46%13.75M203.86%2.96M-1,433.28%-9.13M-4,471.57%-4.66M43.13%-2.14M
-Change in receivables 17.08%4.03M-103.50%-94K408.15%7.48M-2,879.50%-5.96M-468.28%-9.66M243.54%3.44M-49.78%2.68M-68.14%-2.43M-111.95%-200K-140.00%-1.7M
-Change in prepaid assets 57.54%-304K-29.87%1.78M-212.02%-2.1M118.94%642K39.11%-506K-3,877.78%-716K2,306.96%2.54M72.22%-674K-49.41%-3.39M28.85%-831K
-Change in payables and accrued expense -26.29%10.16M206.41%4.07M-54.54%-11.76M-35.03%-2.33M-1,000.77%-4.68M209.87%13.78M55.01%-3.82M-522.49%-7.61M58.97%-1.73M110.91%520K
-Change in other working capital 59.50%-1.12M-219.08%-1.86M253.87%5.58M-113.76%-90K-252.24%-472K-15.59%-2.76M271.90%1.56M-42.70%1.58M-86.09%654K93.56%-134K
Interest paid (cash flow from operating activities) 52.06%-6.16M-33.36%-40.07M48.90%-5.57M-9.69%-79.48M-3.61%-25.69M-2.73%-12.85M-26.30%-30.05M4.17%-10.9M-38.03%-72.46M-11.58%-24.79M
Tax refund paid 15.77%-1.85M-40.96%-3.47M-43.71%-2.34M-0.69%-8.32M-2.73%-2.03M-51.62%-2.19M-24.73%-2.46M43.06%-1.63M54.35%-8.26M38.10%-1.98M
Cash from discontinued investing activities
Operating cash flow 14.35%121.99M-5.11%72.81M29.72%108.92M8.12%338.61M-6.33%71.23M25.10%106.68M13.11%76.73M-0.07%83.96M12.86%313.18M16.04%76.04M
Investing cash flow
Cash flow from continuing investing activities 23.94%-15.88M-166.96%-54.61M29.07%-5.75M48.91%-65.46M11.93%-16.01M-184.81%-20.88M57.37%-20.46M85.16%-8.11M83.29%-128.13M79.99%-18.18M
Net PPE purchase and sale -19.61%-61K-295.45%-43K161.76%42K56.14%-125K78.46%-28K-34.21%-51K131.43%22K-44.68%-68K64.68%-285K-828.57%-130K
Net investment property transactions 23.48%-15.71M-229.88%-54.4M22.39%-5.75M69.91%-58.94M-2.26%-14.53M-204.99%-20.53M66.37%-16.49M94.12%-7.4M72.20%-195.92M79.80%-14.2M
Net other investing changes 62.62%-114K95.84%-166K92.33%-49K-109.39%-6.39M62.04%-1.46M45.92%-305K-457.58%-3.99M-100.90%-639K211.49%68.08M72.10%-3.85M
Cash from discontinued investing activities
Investing cash flow 23.94%-15.88M-166.96%-54.61M29.07%-5.75M48.91%-65.46M11.93%-16.01M-184.81%-20.88M57.37%-20.46M85.16%-8.11M83.29%-128.13M79.99%-18.18M
Financing cash flow
Cash flow from continuing financing activities -24.53%-64.75M45.62%-52.56M-104.04%-107.95M-31.70%-267.5M33.47%-65.95M-29.01%-52M-502.69%-96.64M-11.07%-52.91M-194.66%-203.11M12.45%-99.14M
Net issuance payments of debt -5,516.53%-13.26M34,321.19%80.76M4,940.43%9.1M-161.33%-28.97M-943.26%-28.31M-102.21%-236K-100.67%-236K-104.47%-188K-91.65%47.25M-148.85%-2.71M
Net common stock issuance --0-83.17%-81M---63.6M-69.70%-45.81M94.12%-1.59M--0---44.22M--081.04%-26.99M60.93%-26.99M
Cash dividends paid 0.51%-51.5M-0.07%-52.1M-1.49%-53.05M-1.93%-207.85M-1.64%-51.76M-1.49%-51.76M-2.06%-52.06M-2.54%-52.27M-0.80%-203.91M-2.50%-50.93M
Interest paid (cash flow from financing activities) --081.72%-17K10.49%-401K39.48%-555K---14K--0-69.09%-93K48.03%-448K---917K--0
Net other financing activities -----550.00%-208K----184.67%15.69M184.98%15.73M-----3.23%-32K-----180.66%-18.54M-168,118.18%-18.5M
Cash from discontinued financing activities
Financing cash flow -24.53%-64.75M45.62%-52.56M-104.04%-107.95M-31.70%-267.5M33.47%-65.95M-29.01%-52M-502.69%-96.64M-11.07%-52.91M-194.66%-203.11M12.45%-99.14M
Net cash flow
Beginning cash position -14.65%86.42M-12.07%123.06M8.65%126.18M-14.03%116.13M-15.68%133.49M-15.03%101.26M19.42%139.94M-14.03%116.13M-66.44%135.08M-42.29%158.31M
Current changes in cash 22.33%41.36M14.89%-34.36M-120.84%-4.78M131.31%5.65M73.99%-10.74M-10.19%33.81M-1,156.40%-40.37M225.84%22.95M93.42%-18.06M70.22%-41.28M
Effect of exchange rate changes 109.40%148K-235.57%-2.28M94.28%1.67M592.37%4.39M483.00%3.42M-204.79%-1.58M191.26%1.68M150.58%857K-112.60%-891K-42.36%-894K
End cash Position -4.17%127.93M-14.65%86.42M-12.07%123.06M8.65%126.18M8.65%126.18M-15.68%133.49M-15.03%101.26M19.42%139.94M-14.03%116.13M-14.03%116.13M
Free cash from 14.34%121.93M-5.17%72.77M29.82%108.92M8.18%338.48M-6.21%71.2M25.10%106.63M13.22%76.73M-0.09%83.9M13.09%312.9M15.87%75.91M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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