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GHLD(Quitar la ciudad)

Guild Holdings·NYSE
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Guild Holdings (GHLD) Financial Statements

Guild Holdings (GHLD) Cash Flow Statement

During Q1 2024, Guild Holdings (GHLD) generated -261.44M in cash flow from operating activities, -40.94M from investing activities, and 276.81M from financing activities. Click to view the cash flow statement and track how funds are moving through the company.

Cash Flow

Q1,2020
Q1,2021
Q1,2022
Q1,2023
Q1,2024
TTM
Start Date
Jan 1, 2020
Jan 1, 2021
Jan 1, 2022
Jan 1, 2023
Jan 1, 2024
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End Date
Mar 31, 2020
Mar 31, 2021
Mar 31, 2022
Mar 31, 2023
Mar 31, 2024
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Fiscal Year-End
Dec 31
Dec 31
Dec 31
Dec 31
Dec 31
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Net Cash Flows from Operating Activities
-231.21M
--
34.35M
+114.86%
871.75M
+2437.91%
-29.55M
-103.39%
-261.44M
-784.63%
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Depreciation and Amortization
1.89M
--
1.65M
-12.35%
3.91M
+136.58%
3.74M
-4.47%
3.75M
+0.43%
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Change in Working Capital
-8.74M
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-34.55M
-295.34%
-36.09M
-4.46%
-10.30M
+71.46%
-12.31M
-19.52%
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Net Cash Flows from Investing Activities
-14.39M
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-667.00K
+95.37%
-1.05M
-57.42%
-15.24M
-1351.52%
-40.94M
-168.63%
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Net Cash Flows from Financing Activities
262.71M
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-53.35M
-120.31%
-868.50M
-1527.82%
52.06M
+105.99%
276.81M
+431.70%
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Dividends Paid
10.00M
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Change in Capital Stock
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0
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-569.00K
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-251.00K
+55.89%
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Decrease in Capital Stock
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0
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569.00K
--
251.00K
-55.89%
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Net Increase in Cash and Cash Equivalents
17.11M
--
-19.67M
-214.95%
2.19M
+111.14%
7.27M
+231.63%
-25.58M
-452.04%
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Cash and Cash Equivalents at Beginning of Period
106.73M
--
339.63M
+218.20%
248.12M
-26.94%
146.75M
-40.85%
127.38M
-13.20%
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Cash and Cash Equivalents at End of Period
123.85M
--
319.96M
+158.35%
250.31M
-21.77%
154.02M
-38.47%
101.80M
-33.90%
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