av/medical-properties-trust--big.svg

COM:MEDICALPROPERTIESTRUST

Medical Properties Trust, Inc.

  • Stock

USD

Last Close

4.24

22/11 21:00

Market Cap

2.63B

Beta: -

Volume Today

9.83M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
97.22M
-
50.80M
47.75%
139.93M
175.47%
225.94M
61.47%
291.24M
28.90%
1.02B
249.71%
376.40M
63.04%
432.27M
14.84%
656.94M
51.97%
903.82M
37.58%
-558.12M
161.75%
depreciation and amortization
38.82M
-
55.16M
42.10%
71.83M
30.21%
97.60M
35.88%
131.98M
35.22%
141.49M
7.21%
156.57M
10.66%
275.95M
76.24%
333.78M
20.96%
345.58M
3.53%
603.36M
74.59%
deferred income tax
-7.66M
-
47.27M
717.20%
-3.27M
106.91%
-53.99M
1,552.23%
-7.43M
86.24%
-671.38M
8,934.92%
-20.53M
96.94%
21.84M
206.38%
42.75M
95.73%
10.70M
74.98%
-167.33M
1,664.29%
stock based compensation
8.83M
-
9.16M
3.77%
11.12M
21.35%
7.94M
28.59%
9.95M
25.27%
16.50M
65.90%
32.19M
95.02%
47.15M
46.50%
52.11M
10.51%
49.42M
5.16%
33.25M
32.72%
change in working capital
15.69M
-
2.63M
83.22%
14.68M
457.64%
1.11M
92.46%
-25.12M
2,369.56%
23.00M
191.53%
53.13M
131.02%
17.22M
67.58%
13.12M
23.82%
29.59M
125.55%
-125.01M
522.48%
accounts receivables
-13.21M
-
-3.86M
70.81%
-5.60M
45.20%
-13.25M
136.60%
-21.12M
59.40%
46.50M
320.20%
12.91M
72.24%
-2.44M
118.89%
-23.87M
878.96%
-116.42M
387.79%
-141.73M
21.74%
inventory
1.85M
-
764K
58.81%
-8.30M
1,185.99%
-18.36M
121.25%
-4.45M
75.75%
5.60M
225.70%
-39.63M
808.18%
2.44M
106.15%
23.87M
878.96%
116.42M
387.79%
accounts payables
23.87M
-
6.21M
73.99%
26.54M
327.44%
41.58M
56.68%
2.49M
94.00%
-5.60M
324.38%
39.63M
808.18%
-18.42M
146.49%
54.06M
393.41%
33.58M
37.89%
-4.60M
113.70%
other working capital
3.18M
-
-485K
115.27%
2.03M
519.18%
-8.87M
536.40%
-2.05M
76.89%
-23.50M
1,046.44%
40.22M
271.13%
35.65M
11.37%
-40.94M
214.85%
-3.99M
90.26%
21.32M
634.80%
other non cash items
-12.09M
-
-14.58M
20.59%
-27.29M
87.13%
-13.91M
49.03%
-37.51M
169.68%
-79.00M
110.60%
-103.64M
31.20%
-176.80M
70.59%
-287.04M
62.35%
-600.09M
109.06%
719.64M
219.92%
net cash provided by operating activities
140.80M
-
150.44M
6.85%
207.00M
37.59%
264.68M
27.87%
363.10M
37.18%
449.09M
23.68%
494.12M
10.03%
617.64M
25.00%
811.66M
31.41%
739.01M
8.95%
505.79M
31.56%
investments in property plant and equipment
27.56M
-
-4.86B
-
-4.29B
11.80%
-65.55M
98.47%
-1.54B
2,250.04%
-529.35M
65.63%
acquisitions net
-654.92M
-
-767.70M
17.22%
-2.22B
189.03%
-1.68B
24.18%
-2.25B
33.55%
-1.43B
36.31%
-4.57B
219.05%
-4.18B
8.45%
-5.28B
26.43%
-1.32B
75.05%
-222.76M
83.11%
purchases of investments
-52.12M
-
-13.13M
74.81%
-17.34M
32.10%
-119.42M
588.75%
-94.97M
20.48%
-138.44M
45.77%
-293.16M
111.76%
-36.18M
87.66%
-289.24M
699.44%
-207.39M
28.30%
-364.65M
75.82%
sales maturities of investments
50M
-
112.69M
-
1.47B
1,204.14%
65.55M
95.54%
14.29M
78.19%
1.41B
9,774.50%
other investing activites
-5.54M
-
-69.20M
1,149.12%
290.59M
519.92%
797.73M
174.52%
-20.31M
102.55%
2.13B
10,606.27%
4.72B
121.26%
4.09B
13.47%
1.72B
58.01%
3.45B
101.00%
222.76M
93.54%
net cash used for investing activites
-712.58M
-
-850.02M
19.29%
-1.95B
128.89%
-926.54M
52.38%
-2.36B
154.93%
564.18M
123.88%
-4.88B
965.68%
-2.95B
39.66%
-3.86B
30.94%
396.06M
110.26%
517.56M
30.68%
debt repayment
-11.25M
-
-100.27M
791.33%
-283K
99.72%
-575.30M
203,185.87%
-1.04B
80.47%
-811.72M
21.82%
-65.74M
91.90%
-800M
1,116.99%
-1.39B
73.87%
-869.61M
37.48%
-420.25M
51.67%
common stock issued
313.33M
-
138.17M
55.90%
817.39M
491.57%
1.17B
43.59%
547.78M
53.33%
94.24M
82.80%
2.53B
2,588.07%
411.10M
83.77%
1.05B
155.71%
common stock repurchased
404.58M
-
915.63M
126.31%
1.19B
30.01%
190M
84.04%
2.91B
1,429.31%
759.74M
73.85%
3.05B
301.25%
2.38B
21.97%
3.97B
66.80%
-47.86M
101.21%
dividends paid
-120.31M
-
-144.37M
20.00%
-182.98M
26.75%
-218.39M
19.35%
-326.73M
49.61%
-363.91M
11.38%
-411.70M
13.13%
-567.97M
37.96%
-643.47M
13.29%
-698.53M
8.56%
-615.39M
11.90%
other financing activites
-6.53M
-
-6.60M
1.15%
-23.85M
261.16%
-17.40M
27.06%
-18.25M
4.93%
-24.22M
32.69%
-62.32M
157.30%
-20.64M
66.88%
-36.67M
77.68%
273.48M
845.71%
15.31M
94.40%
net cash used provided by financing activities
579.82M
-
802.56M
38.41%
1.80B
124.37%
552.56M
69.31%
2.07B
274.67%
-345.87M
116.71%
5.04B
1,557.74%
1.40B
72.21%
2.95B
110.38%
-1.34B
145.55%
-1.02B
24.00%
effect of forex changes on cash
620K
-
-4.42M
813.06%
-11.06M
150.28%
-3.00M
72.86%
16.92M
663.44%
-17.22M
201.76%
-6.48M
62.38%
16.44M
353.80%
4.66M
71.64%
-12.89M
376.43%
11.40M
188.44%
net change in cash
8.67M
-
98.56M
1,037.08%
51M
48.26%
-112.30M
320.20%
88.23M
178.57%
650.18M
636.90%
645.57M
0.71%
-911.62M
241.21%
-94.49M
89.64%
-220.34M
133.20%
14.35M
106.51%
cash at beginning of period
37.31M
-
45.98M
23.23%
144.54M
214.36%
195.54M
35.28%
83.24M
57.43%
172.25M
106.93%
822.42M
377.47%
1.47B
78.50%
556.37M
62.10%
461.88M
16.98%
235.67M
48.98%
cash at end of period
45.98M
-
144.54M
214.36%
195.54M
35.28%
83.24M
57.43%
171.47M
106.00%
822.42M
379.63%
1.47B
78.50%
556.37M
62.10%
461.88M
16.98%
241.54M
47.71%
250.02M
3.51%
operating cash flow
140.80M
-
150.44M
6.85%
207.00M
37.59%
264.68M
27.87%
363.10M
37.18%
449.09M
23.68%
494.12M
10.03%
617.64M
25.00%
811.66M
31.41%
739.01M
8.95%
505.79M
31.56%
capital expenditure
27.56M
-
-4.86B
-
-4.29B
11.80%
-65.55M
98.47%
-1.54B
2,250.04%
-529.35M
65.63%
free cash flow
140.80M
-
150.44M
6.85%
207.00M
37.59%
292.24M
41.18%
363.10M
24.25%
449.09M
23.68%
-4.36B
1,071.89%
-3.67B
15.97%
746.11M
120.34%
-801.35M
207.40%
-23.57M
97.06%

All numbers in USD (except ratios and percentages)