More on DCT

- Summary
- Chart
- Profile
- Historical

Data

- Earnings
- Ratings (1.1 Score)
- Holders
- Dividends (6.1% Yield)
- Event Driven Deals

Financials

Income Statement
Balance Sheet
Cash Flow Statement

Upcoming Events

- M&A (9/30/18 *Est)

News

- Analyst Ratings
- Earnings Related
- Guidance
- Insider Trades
- Mgmt Changes
- M & A
- Retail Sales
- Rumors
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DCT Cash Flow Statement

Click line-items for a historical chart and %
Consolidated net loss of DCT Industrial Trust Inc. 77.31M
Real estate related depreciation and amortization 120.24M
Distributions of earnings from unconsolidated joint ventures 4.42M
Equity in loss of unconsolidated joint ventures, net -2.98M
Stock-based compensation 4.15M
Impairment losses
Casualty gains
Straight - line rent
Other
Other receivables and other assets
Accounts payable, accrued expenses and other liabilities 22.28M
Net cash provided by operating activities 158.37M
Real estate acquisitions
Capital expenditures and development activities -229.96M
Increase of deferred acquisition costs and deposits
Proceeds from dispositions of real estate investments, net 106.13M
Investments in unconsolidated joint ventures -15.08M
Repayment of notes receivable
Insurance proceeds from casualty reimbursement for capital expenditures 3.45M
Other investing activities -4.38M
Net cash used in investing activities -164.52M
Proceeds from senior unsecured revolving line of credit 173M
Repayments of senior unsecured revolving line of credit -243M
Proceeds from senior unsecured debt 250M
Repayments of senior unsecured debt -174M
Proceeds from mortgage notes
Principal payments on mortgage notes -5M
Increase of deferred loan costs
Issuance of common stock 81.77M
Offering costs for issuance of common stock and OP Units -1.2M
Redemption of OP units
Distributions to common stockholders -77.61M
Distributions to noncontrolling interests -4.6M
Contributions from noncontrolling interests 134K
Net cash provided by (used in) financing activities -5.19M
NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS -11.34M
CASH AND CASH EQUIVALENTS, beginning of period 18.41M
CASH AND CASH EQUIVALENTS, end of period 7.07M
Cash paid for interest, net of capitalized interest 40.96M
Retirement of fully amortized intangible lease assets, net
Redemptions of OP Units settled in shares of common stock
Assumption of mortgage notes in connection with real estate acquired
Contributions of real estate from noncontrolling interests