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BNL Broadstone Net Lease

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  • 16.160
  • -0.610-3.64%
Close Dec 18 16:00 ET
  • 18.990
  • +2.830+17.51%
Pre 04:36 ET
3.05BMarket Cap21.55P/E (TTM)

Broadstone Net Lease 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
-8.91%67.3M
19.19%74.17M
-4.72%70.87M
5.92%271.07M
0.23%60.58M
-4.68%73.89M
5.73%62.23M
25.84%74.38M
4.48%255.91M
4.90%60.44M
Net income from continuing operations
-28.53%37.27M
-42.95%35.94M
64.78%68.18M
26.13%163.31M
-81.52%6.8M
81.63%52.15M
77.19%63M
45.47%41.37M
18.21%129.48M
14.11%36.77M
Operating gains losses
83.90%-2.44M
88.52%-3.38M
-1,631.54%-59.13M
-240.44%-54.31M
40.99%-6.27M
-24,757.38%-15.16M
-623.70%-29.46M
-185.54%-3.42M
16.49%-15.95M
-184.70%-10.63M
Depreciation and amortization
-2.06%36.71M
-4.31%36.31M
-5.98%36.75M
1.86%152.78M
-13.62%38.26M
-1.95%37.48M
10.49%37.95M
17.99%39.09M
16.38%150M
35.98%44.3M
Other non cash items
25.57%-5.02M
16.73%-4.8M
47.99%-2.95M
-2.19%-19.18M
78.34%-993K
15.62%-6.75M
-1.07%-5.76M
-1,083.72%-5.67M
-36.76%-18.76M
-35.65%-4.59M
Change In working capital
-145.20%-2.1M
183.19%4.18M
139.66%142K
-3,085.99%-9.17M
-21.58%-8.42M
-64.28%4.64M
-24.80%-5.03M
79.22%-358K
-95.25%307K
-431.39%-6.92M
-Change in receivables
-198.67%-519K
-806.42%-770K
168.70%704K
18.36%780K
68.38%-117K
-61.18%526K
122.90%109K
74.67%262K
-15.08%659K
-430.36%-370K
-Change in prepaid assets
-1,291.80%-1.45M
-224.57%-1.32M
1,221.40%2.84M
-276.88%-352K
-124.44%-282K
106.12%122K
-272.46%-407K
-73.26%215K
-43.14%199K
186.12%1.15M
-Change in payables and accrued expense
-103.08%-123K
232.64%6.27M
-307.54%-3.4M
-1,641.38%-9.6M
-4.03%-8.02M
-70.72%3.99M
-24.84%-4.73M
68.81%-835K
-110.32%-551K
-10,177.33%-7.71M
Cash from discontinued investing activities
Operating cash flow
-8.91%67.3M
19.19%74.17M
-4.72%70.87M
5.92%271.07M
0.23%60.58M
-4.68%73.89M
5.73%62.23M
25.84%74.38M
4.48%255.91M
4.90%60.44M
Investing cash flow
Cash flow from continuing investing activities
-254.29%-65.62M
-13,276.18%-225.71M
589.38%204.29M
102.83%24.34M
81.95%-49.54M
120.73%42.53M
100.99%1.71M
114.27%29.63M
-47.63%-859.64M
-104.95%-274.49M
Capital expenditure reported
-20.23%-7.05M
97.85%-172K
79.90%-3.13M
-47.42%-46.25M
-37.65%-16.8M
-564.63%-5.86M
54.26%-8.01M
-1,902.96%-15.58M
-1,863.33%-31.37M
-8,201.36%-12.2M
Cash from discontinued investing activities
Investing cash flow
-254.29%-65.62M
-13,276.18%-225.71M
589.38%204.29M
102.83%24.34M
81.95%-49.54M
120.73%42.53M
100.99%1.71M
114.27%29.63M
-47.63%-859.64M
-104.95%-274.49M
Financing cash flow
Cash flow from continuing financing activities
89.86%-10.36M
-9.28%-51.35M
49.56%-73.01M
-152.64%-334.82M
-121.34%-40.91M
-156.44%-102.18M
-161.13%-46.99M
-177.67%-144.74M
149.99%636M
128.25%191.72M
Net issuance payments of debt
193.54%44.94M
-25.69%5.44M
82.66%-15.56M
-134.12%-116M
146.28%14.45M
-122.57%-48.04M
-86.99%7.33M
-187.90%-89.74M
125.25%339.98M
-130.81%-31.22M
Net common stock issuance
----
----
----
-100.04%-180K
----
----
----
----
76.76%495.57M
903.23%272.74M
Cash dividends paid
-3.97%-53.54M
-4.37%-53.94M
-5.02%-54.45M
-14.51%-207.52M
-11.73%-52.51M
-12.27%-51.49M
-15.20%-51.68M
-19.17%-51.84M
-17.33%-181.22M
-14.20%-47M
Net other financing activities
33.58%-1.76M
-8.28%-2.85M
5.10%-3M
39.34%-11.12M
4.64%-2.67M
56.37%-2.65M
6.00%-2.63M
52.42%-3.16M
18.30%-18.32M
16.50%-2.8M
Cash from discontinued financing activities
Financing cash flow
89.86%-10.36M
-9.28%-51.35M
49.56%-73.01M
-152.64%-334.82M
-121.34%-40.91M
-156.44%-102.18M
-161.13%-46.99M
-177.67%-144.74M
149.99%636M
128.25%191.72M
Net cash flow
Beginning cash position
-45.14%19.9M
1,053.69%222.78M
-65.64%20.63M
116.21%60.04M
-38.69%50.5M
25.16%36.27M
-70.54%19.31M
116.21%60.04M
-74.92%27.77M
310.23%82.36M
Current changes in cash
-160.98%-8.68M
-1,296.59%-202.88M
596.31%202.15M
-222.12%-39.41M
-33.80%-29.87M
-73.34%14.23M
146.36%16.96M
-207.81%-40.73M
138.90%32.27M
-390.18%-22.32M
End cash Position
-77.78%11.22M
-45.14%19.9M
1,053.69%222.78M
-65.64%20.63M
-65.64%20.63M
-38.69%50.5M
25.16%36.27M
-70.54%19.31M
116.21%60.04M
116.21%60.04M
Free cash flow
-11.42%60.26M
36.49%74M
15.21%67.74M
0.13%224.82M
-9.23%43.79M
-11.23%68.03M
31.14%54.22M
0.80%58.79M
-7.73%224.54M
-16.07%48.24M
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 -8.91%67.3M 19.19%74.17M -4.72%70.87M 5.92%271.07M 0.23%60.58M -4.68%73.89M 5.73%62.23M 25.84%74.38M 4.48%255.91M 4.90%60.44M
Net income from continuing operations -28.53%37.27M -42.95%35.94M 64.78%68.18M 26.13%163.31M -81.52%6.8M 81.63%52.15M 77.19%63M 45.47%41.37M 18.21%129.48M 14.11%36.77M
Operating gains losses 83.90%-2.44M 88.52%-3.38M -1,631.54%-59.13M -240.44%-54.31M 40.99%-6.27M -24,757.38%-15.16M -623.70%-29.46M -185.54%-3.42M 16.49%-15.95M -184.70%-10.63M
Depreciation and amortization -2.06%36.71M -4.31%36.31M -5.98%36.75M 1.86%152.78M -13.62%38.26M -1.95%37.48M 10.49%37.95M 17.99%39.09M 16.38%150M 35.98%44.3M
Other non cash items 25.57%-5.02M 16.73%-4.8M 47.99%-2.95M -2.19%-19.18M 78.34%-993K 15.62%-6.75M -1.07%-5.76M -1,083.72%-5.67M -36.76%-18.76M -35.65%-4.59M
Change In working capital -145.20%-2.1M 183.19%4.18M 139.66%142K -3,085.99%-9.17M -21.58%-8.42M -64.28%4.64M -24.80%-5.03M 79.22%-358K -95.25%307K -431.39%-6.92M
-Change in receivables -198.67%-519K -806.42%-770K 168.70%704K 18.36%780K 68.38%-117K -61.18%526K 122.90%109K 74.67%262K -15.08%659K -430.36%-370K
-Change in prepaid assets -1,291.80%-1.45M -224.57%-1.32M 1,221.40%2.84M -276.88%-352K -124.44%-282K 106.12%122K -272.46%-407K -73.26%215K -43.14%199K 186.12%1.15M
-Change in payables and accrued expense -103.08%-123K 232.64%6.27M -307.54%-3.4M -1,641.38%-9.6M -4.03%-8.02M -70.72%3.99M -24.84%-4.73M 68.81%-835K -110.32%-551K -10,177.33%-7.71M
Cash from discontinued investing activities
Operating cash flow -8.91%67.3M 19.19%74.17M -4.72%70.87M 5.92%271.07M 0.23%60.58M -4.68%73.89M 5.73%62.23M 25.84%74.38M 4.48%255.91M 4.90%60.44M
Investing cash flow
Cash flow from continuing investing activities -254.29%-65.62M -13,276.18%-225.71M 589.38%204.29M 102.83%24.34M 81.95%-49.54M 120.73%42.53M 100.99%1.71M 114.27%29.63M -47.63%-859.64M -104.95%-274.49M
Capital expenditure reported -20.23%-7.05M 97.85%-172K 79.90%-3.13M -47.42%-46.25M -37.65%-16.8M -564.63%-5.86M 54.26%-8.01M -1,902.96%-15.58M -1,863.33%-31.37M -8,201.36%-12.2M
Cash from discontinued investing activities
Investing cash flow -254.29%-65.62M -13,276.18%-225.71M 589.38%204.29M 102.83%24.34M 81.95%-49.54M 120.73%42.53M 100.99%1.71M 114.27%29.63M -47.63%-859.64M -104.95%-274.49M
Financing cash flow
Cash flow from continuing financing activities 89.86%-10.36M -9.28%-51.35M 49.56%-73.01M -152.64%-334.82M -121.34%-40.91M -156.44%-102.18M -161.13%-46.99M -177.67%-144.74M 149.99%636M 128.25%191.72M
Net issuance payments of debt 193.54%44.94M -25.69%5.44M 82.66%-15.56M -134.12%-116M 146.28%14.45M -122.57%-48.04M -86.99%7.33M -187.90%-89.74M 125.25%339.98M -130.81%-31.22M
Net common stock issuance ---- ---- ---- -100.04%-180K ---- ---- ---- ---- 76.76%495.57M 903.23%272.74M
Cash dividends paid -3.97%-53.54M -4.37%-53.94M -5.02%-54.45M -14.51%-207.52M -11.73%-52.51M -12.27%-51.49M -15.20%-51.68M -19.17%-51.84M -17.33%-181.22M -14.20%-47M
Net other financing activities 33.58%-1.76M -8.28%-2.85M 5.10%-3M 39.34%-11.12M 4.64%-2.67M 56.37%-2.65M 6.00%-2.63M 52.42%-3.16M 18.30%-18.32M 16.50%-2.8M
Cash from discontinued financing activities
Financing cash flow 89.86%-10.36M -9.28%-51.35M 49.56%-73.01M -152.64%-334.82M -121.34%-40.91M -156.44%-102.18M -161.13%-46.99M -177.67%-144.74M 149.99%636M 128.25%191.72M
Net cash flow
Beginning cash position -45.14%19.9M 1,053.69%222.78M -65.64%20.63M 116.21%60.04M -38.69%50.5M 25.16%36.27M -70.54%19.31M 116.21%60.04M -74.92%27.77M 310.23%82.36M
Current changes in cash -160.98%-8.68M -1,296.59%-202.88M 596.31%202.15M -222.12%-39.41M -33.80%-29.87M -73.34%14.23M 146.36%16.96M -207.81%-40.73M 138.90%32.27M -390.18%-22.32M
End cash Position -77.78%11.22M -45.14%19.9M 1,053.69%222.78M -65.64%20.63M -65.64%20.63M -38.69%50.5M 25.16%36.27M -70.54%19.31M 116.21%60.04M 116.21%60.04M
Free cash flow -11.42%60.26M 36.49%74M 15.21%67.74M 0.13%224.82M -9.23%43.79M -11.23%68.03M 31.14%54.22M 0.80%58.79M -7.73%224.54M -16.07%48.24M
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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