HFF Inc. Cl A | Cash Flow

Fiscal year is January-December. All values USD Thousands.
2013
2014
2015
2016
2017
Other Funds
494.00
979.00
465.00
581.00
-
Funds from Operations
73,458.00
82,594.00
100,552.00
101,637.00
117,457.00
Changes in Working Capital
6,346.00
64,522.00
156,352.00
5,317.00
156,382.00
Net Operating Cash Flow
79,804.00
18,072.00
55,800.00
106,954.00
38,925.00
Capital Expenditures
3,323.00
5,004.00
5,897.00
5,254.00
6,579.00
Net Investing Cash Flow
3,323.00
5,004.00
5,897.00
5,254.00
12,777.00
Cash Dividends Paid - Total
-
68,166.00
67,821.00
68,362.00
60,017.00
Issuance/Reduction of Debt, Net
339.00
91,192.00
133,051.00
28,193.00
158,973.00
Net Financing Cash Flow
1,550.00
17,723.00
63,548.00
100,022.00
93,023.00
Net Change in Cash
74,931.00
30,791.00
1,851.00
1,678.00
41,220.00
Free Cash Flow
76,481.00
13,068.00
61,697.00
101,700.00
45,504.00
Net Assets from Acquisitions
-
-
-
-
6,198.00
Change in Capital Stock
1,705.00
6,282.00
2,147.00
2,886.00
5,933.00
Exchange Rate Effect
-
-
-
-
101.00

About HFF

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Address
One Victory Park
Dallas Texas 75219
United States
Employees -
Website http://www.hfflp.com
Updated 09/14/2018
HFF, Inc. engages in the provision of commercial real estate and capital markets services. It offers debt placement, investment sales, distressed debt and real estate owned advisory services, structured finance, private equity placement, investment banking, loan sales, and commercial loan servicing. The company was founded in November 2006 and is headquartered in Dallas, TX.