US Stock MarketDetailed Quotes

GMRE Global Medical REIT Inc

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  • 7.590
  • -0.130-1.68%
Close Jan 2 16:00 ET
  • 7.700
  • +0.110+1.45%
Post 17:48 ET
507.04MMarket Cap-379.50P/E (TTM)

Global Medical REIT Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-2.18%16.3M
5.87%18.93M
-9.37%14.29M
-10.58%68.44M
-1.00%18.13M
-9.00%16.67M
-23.87%17.88M
-4.05%15.77M
10.98%76.54M
5.93%18.31M
Net income from continuing operations
-29.84%3.39M
-113.77%-1.95M
6.49%2.31M
8.69%21.73M
-70.18%551K
-51.81%4.83M
269.87%14.18M
-49.30%2.17M
9.02%20M
-66.32%1.85M
Operating gains losses
20.36%-1.82M
----
----
-117.56%-14.69M
--868K
---2.29M
---12.79M
---485K
-531.71%-6.75M
--0
Depreciation and amortization
-3.85%13.82M
-6.10%14.14M
-6.14%14.23M
2.34%59.01M
-6.16%14.42M
-1.65%14.37M
5.11%15.06M
13.49%15.16M
21.89%57.66M
19.71%15.36M
Other non cash items
-40.55%497K
87.23%1.47M
24.19%765K
10.84%2.99M
10.12%751K
11.76%836K
38.10%783K
-11.62%616K
21.79%2.69M
16.98%682K
Change In working capital
62.28%-857K
213.10%570K
-78.48%-4.25M
-227.26%-5.69M
17.67%-536K
-66.69%-2.27M
-114.55%-504K
25.42%-2.38M
54.46%-1.74M
68.64%-651K
-Change in receivables
66.44%-49K
-5,585.71%-1.15M
-253.76%-981K
114.34%426K
94.75%-87K
87.76%-146K
-92.71%21K
256.76%638K
-352.05%-2.97M
-35.13%-1.66M
-Change in prepaid assets
-150.33%-751K
15.16%-403K
189.00%688K
-292.51%-1.77M
-494.74%-225K
-400.00%-300K
-169.04%-475K
-1,117.11%-773K
360.50%921K
195.00%57K
-Change in payables and accrued expense
182.36%425K
101.92%1.79M
-68.19%-2.06M
-149.79%-2.02M
-332.21%-1.17M
-126.61%-516K
-66.65%884K
-18.74%-1.22M
111.17%4.06M
148.74%503K
-Change in other working capital
63.21%-482K
136.40%340K
-85.70%-1.9M
38.16%-2.32M
111.19%944K
40.70%-1.31M
-476.54%-934K
44.18%-1.02M
29.00%-3.75M
83.95%447K
Cash from discontinued investing activities
Operating cash flow
-2.18%16.3M
5.87%18.93M
-9.37%14.29M
-10.58%68.44M
-1.00%18.13M
-9.00%16.67M
-23.87%17.88M
-4.05%15.77M
10.98%76.54M
5.93%18.31M
Investing cash flow
Cash flow from continuing investing activities
-550.00%-25.49M
-97.12%1.79M
-187.84%-2.72M
149.26%67.62M
-120.85%-3.11M
116.93%5.66M
181.76%61.97M
111.63%3.09M
29.49%-137.25M
94.95%-1.41M
Capital expenditure reported
-38.35%-4.77M
-110.10%-3.2M
-147.71%-2M
-82.10%-9.6M
-137.49%-3.83M
-59.94%-3.45M
-59.92%-1.52M
-45.50%-809K
43.92%-5.27M
79.31%-1.61M
Net PPE purchase and sale
---31.28M
----
----
99.71%-442K
--0
--0
----
----
21.50%-150.93M
98.74%-335K
Net other investing changes
-172.42%-1.14M
-785.42%-2.55M
-159.85%-712K
-218.58%-1.26M
-151.87%-278K
-127.95%-417K
-147.68%-288K
82.57%-274K
-30.08%1.06M
-39.98%536K
Cash from discontinued investing activities
Investing cash flow
-550.00%-25.49M
-97.12%1.79M
-187.84%-2.72M
149.26%67.62M
-120.85%-3.11M
116.93%5.66M
181.76%61.97M
111.63%3.09M
29.49%-137.25M
94.95%-1.41M
Financing cash flow
Cash flow from continuing financing activities
137.37%9.16M
75.37%-20.7M
45.73%-10.5M
-330.40%-143.79M
0.87%-15.9M
-268.65%-24.5M
-244.10%-84.05M
-445.86%-19.34M
-51.13%62.41M
-239.07%-16.04M
Net issuance payments of debt
281.28%14.65M
93.12%-4.66M
334.67%5.97M
-170.60%-86.09M
-1,194.13%-7.82M
-123.57%-8.08M
-192.49%-67.64M
-118.41%-2.54M
1,250.07%121.94M
-95.70%715K
Net common stock issuance
----
----
----
--0
--0
----
----
----
-95.18%9.9M
-100.75%-83K
Cash dividends paid
-0.57%-16.37M
-1.31%-16.36M
-1.53%-16.4M
-0.94%-64.85M
-1.10%-16.27M
-1.10%-16.28M
-0.49%-16.14M
-1.08%-16.15M
-10.15%-64.24M
-4.41%-16.1M
Net other financing activities
88.59%-17K
218.63%312K
89.98%-64K
237.73%7.15M
1,530.72%8.2M
95.92%-149K
48.23%-263K
-40.13%-639K
41.65%-5.19M
25.39%-573K
Cash from discontinued financing activities
Financing cash flow
137.37%9.16M
75.37%-20.7M
45.73%-10.5M
-330.40%-143.79M
0.87%-15.9M
-268.65%-24.5M
-244.10%-84.05M
-445.86%-19.34M
-51.13%62.41M
-239.07%-16.04M
Net cash flow
Beginning cash position
-20.10%7.82M
-44.17%7.81M
-53.48%6.72M
13.29%14.46M
-44.01%7.61M
-31.09%9.79M
70.71%13.98M
13.29%14.46M
18.66%12.76M
14.54%13.6M
Current changes in cash
98.67%-29K
100.29%12K
328.27%1.08M
-555.84%-7.73M
-203.26%-888K
-259.17%-2.17M
-169.82%-4.2M
89.63%-474K
-15.45%1.7M
-3.37%860K
End cash Position
2.33%7.79M
-20.10%7.82M
-44.17%7.81M
-53.48%6.72M
-53.48%6.72M
-44.01%7.61M
-31.09%9.79M
70.71%13.98M
13.29%14.46M
13.29%14.46M
Free cash flow
-249.33%-19.74M
-1.17%15.73M
-17.87%12.29M
173.30%58.39M
-12.61%14.3M
138.31%13.22M
130.07%15.91M
274.22%14.96M
39.97%-79.66M
196.17%16.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -2.18%16.3M 5.87%18.93M -9.37%14.29M -10.58%68.44M -1.00%18.13M -9.00%16.67M -23.87%17.88M -4.05%15.77M 10.98%76.54M 5.93%18.31M
Net income from continuing operations -29.84%3.39M -113.77%-1.95M 6.49%2.31M 8.69%21.73M -70.18%551K -51.81%4.83M 269.87%14.18M -49.30%2.17M 9.02%20M -66.32%1.85M
Operating gains losses 20.36%-1.82M ---- ---- -117.56%-14.69M --868K ---2.29M ---12.79M ---485K -531.71%-6.75M --0
Depreciation and amortization -3.85%13.82M -6.10%14.14M -6.14%14.23M 2.34%59.01M -6.16%14.42M -1.65%14.37M 5.11%15.06M 13.49%15.16M 21.89%57.66M 19.71%15.36M
Other non cash items -40.55%497K 87.23%1.47M 24.19%765K 10.84%2.99M 10.12%751K 11.76%836K 38.10%783K -11.62%616K 21.79%2.69M 16.98%682K
Change In working capital 62.28%-857K 213.10%570K -78.48%-4.25M -227.26%-5.69M 17.67%-536K -66.69%-2.27M -114.55%-504K 25.42%-2.38M 54.46%-1.74M 68.64%-651K
-Change in receivables 66.44%-49K -5,585.71%-1.15M -253.76%-981K 114.34%426K 94.75%-87K 87.76%-146K -92.71%21K 256.76%638K -352.05%-2.97M -35.13%-1.66M
-Change in prepaid assets -150.33%-751K 15.16%-403K 189.00%688K -292.51%-1.77M -494.74%-225K -400.00%-300K -169.04%-475K -1,117.11%-773K 360.50%921K 195.00%57K
-Change in payables and accrued expense 182.36%425K 101.92%1.79M -68.19%-2.06M -149.79%-2.02M -332.21%-1.17M -126.61%-516K -66.65%884K -18.74%-1.22M 111.17%4.06M 148.74%503K
-Change in other working capital 63.21%-482K 136.40%340K -85.70%-1.9M 38.16%-2.32M 111.19%944K 40.70%-1.31M -476.54%-934K 44.18%-1.02M 29.00%-3.75M 83.95%447K
Cash from discontinued investing activities
Operating cash flow -2.18%16.3M 5.87%18.93M -9.37%14.29M -10.58%68.44M -1.00%18.13M -9.00%16.67M -23.87%17.88M -4.05%15.77M 10.98%76.54M 5.93%18.31M
Investing cash flow
Cash flow from continuing investing activities -550.00%-25.49M -97.12%1.79M -187.84%-2.72M 149.26%67.62M -120.85%-3.11M 116.93%5.66M 181.76%61.97M 111.63%3.09M 29.49%-137.25M 94.95%-1.41M
Capital expenditure reported -38.35%-4.77M -110.10%-3.2M -147.71%-2M -82.10%-9.6M -137.49%-3.83M -59.94%-3.45M -59.92%-1.52M -45.50%-809K 43.92%-5.27M 79.31%-1.61M
Net PPE purchase and sale ---31.28M ---- ---- 99.71%-442K --0 --0 ---- ---- 21.50%-150.93M 98.74%-335K
Net other investing changes -172.42%-1.14M -785.42%-2.55M -159.85%-712K -218.58%-1.26M -151.87%-278K -127.95%-417K -147.68%-288K 82.57%-274K -30.08%1.06M -39.98%536K
Cash from discontinued investing activities
Investing cash flow -550.00%-25.49M -97.12%1.79M -187.84%-2.72M 149.26%67.62M -120.85%-3.11M 116.93%5.66M 181.76%61.97M 111.63%3.09M 29.49%-137.25M 94.95%-1.41M
Financing cash flow
Cash flow from continuing financing activities 137.37%9.16M 75.37%-20.7M 45.73%-10.5M -330.40%-143.79M 0.87%-15.9M -268.65%-24.5M -244.10%-84.05M -445.86%-19.34M -51.13%62.41M -239.07%-16.04M
Net issuance payments of debt 281.28%14.65M 93.12%-4.66M 334.67%5.97M -170.60%-86.09M -1,194.13%-7.82M -123.57%-8.08M -192.49%-67.64M -118.41%-2.54M 1,250.07%121.94M -95.70%715K
Net common stock issuance ---- ---- ---- --0 --0 ---- ---- ---- -95.18%9.9M -100.75%-83K
Cash dividends paid -0.57%-16.37M -1.31%-16.36M -1.53%-16.4M -0.94%-64.85M -1.10%-16.27M -1.10%-16.28M -0.49%-16.14M -1.08%-16.15M -10.15%-64.24M -4.41%-16.1M
Net other financing activities 88.59%-17K 218.63%312K 89.98%-64K 237.73%7.15M 1,530.72%8.2M 95.92%-149K 48.23%-263K -40.13%-639K 41.65%-5.19M 25.39%-573K
Cash from discontinued financing activities
Financing cash flow 137.37%9.16M 75.37%-20.7M 45.73%-10.5M -330.40%-143.79M 0.87%-15.9M -268.65%-24.5M -244.10%-84.05M -445.86%-19.34M -51.13%62.41M -239.07%-16.04M
Net cash flow
Beginning cash position -20.10%7.82M -44.17%7.81M -53.48%6.72M 13.29%14.46M -44.01%7.61M -31.09%9.79M 70.71%13.98M 13.29%14.46M 18.66%12.76M 14.54%13.6M
Current changes in cash 98.67%-29K 100.29%12K 328.27%1.08M -555.84%-7.73M -203.26%-888K -259.17%-2.17M -169.82%-4.2M 89.63%-474K -15.45%1.7M -3.37%860K
End cash Position 2.33%7.79M -20.10%7.82M -44.17%7.81M -53.48%6.72M -53.48%6.72M -44.01%7.61M -31.09%9.79M 70.71%13.98M 13.29%14.46M 13.29%14.46M
Free cash flow -249.33%-19.74M -1.17%15.73M -17.87%12.29M 173.30%58.39M -12.61%14.3M 138.31%13.22M 130.07%15.91M 274.22%14.96M 39.97%-79.66M 196.17%16.36M
Currency Unit USD USD USD USD USD USD USD USD USD USD
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 -- -- -- -- Unqualified Opinion --
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