Rithm Property Trust Inc. (RPT): 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 2023-12-31, 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.

-$46.46M
Year ended 2023-12-31
$1.11M2020-12-31: -$14.06M2021-12-31: -$18.51M2022-12-31: $1.11M2023-12-31: -$46.46M-$46.46M
2020-12-31 Free Cash Flow (USD) 2023-12-31
Period endedFree Cash FlowChange YoYSource filing
2023-12-31-$46.46Mn/m2025-02-18, From 2023-01-01
2022-12-31$1.11Mn/m2024-02-28, From 2022-01-01
2021-12-31-$18.51Mn/m2024-02-28, From 2021-01-01
2020-12-31-$14.06Mn/a2023-03-03, From 2020-01-01