CareTrust REIT, Inc. Operating Cash Flow for the Trailing 12 Months (TTM) ending March 31, 2025: USD 266.81 M

CareTrust REIT, Inc. Operating Cash Flow is USD 266.81 M for the Trailing 12 Months (TTM) ending March 31, 2025, a 58.38% change year over year. Operating cash flow is cash generated from the company’s regular business operations.
  • CareTrust REIT, Inc. Operating Cash Flow for the Trailing 12 Months (TTM) ending March 31, 2024 was USD 168.47 M, a 16.22% change year over year.
  • CareTrust REIT, Inc. Operating Cash Flow for the Trailing 12 Months (TTM) ending March 31, 2023 was USD 144.96 M, a -7.97% change year over year.
  • CareTrust REIT, Inc. Operating Cash Flow for the Trailing 12 Months (TTM) ending March 31, 2022 was USD 157.50 M, a 10.01% change year over year.
  • CareTrust REIT, Inc. Operating Cash Flow for the Trailing 12 Months (TTM) ending March 31, 2021 was USD 143.17 M, a 7.86% change year over year.
Key Data
Date Operating Cash Flow Capital Expenditure Net Cash Used For Investing Activities Net Cash Used Provided By Financing Activities