CareTrust REIT, Inc. (CTRE): Free Cash Flow

Operating cash flow minus capital expenditures for the same annual period and currency, computed by TickerFacts from the filed figures. A simple proxy, not a reported figure; a year without both inputs is left out.

Older than the company's other figures. The latest Free Cash Flow is for the year ended 2019-12-31, while the company's latest annual report covers the year ended 2025-12-31. Its later filings do not report Capital Expenditures, which Free Cash Flow is computed from, under the concepts TickerFacts maps.

$123.36M
Year ended 2019-12-31
+24.3%
3-year compound annual growth
+115.9%
5-year compound annual growth
2012-12-31: $4.38M2013-12-31: $6.70M2014-12-31: $2.63M2015-12-31: $39.98M2016-12-31: $64.28M2017-12-31: $88.40M2018-12-31: $97.58M2019-12-31: $123.36M$123.36M
2012-12-31 Free Cash Flow (USD) 2019-12-31
Period endedFree Cash FlowChange YoYSource filing
2019-12-31$123.36M+26.4%2022-02-16, From 2019-01-01
2018-12-31$97.58M+10.4%2021-02-10, From 2018-01-01
2017-12-31$88.40M+37.5%2020-02-20, From 2017-01-01
2016-12-31$64.28M+60.8%2019-02-13, From 2016-01-01
2015-12-31$39.98Mn/m2018-02-27, From 2015-01-01
2014-12-31$2.63M-60.7%2017-02-07, From 2014-01-01
2013-12-31$6.70M+53.0%2016-02-11, From 2013-01-01
2012-12-31$4.38Mn/a2015-02-11, From 2012-01-01