Reitir fasteignafélag hf (REITIR) — Cash Flow Quality Index

Latest as of September 2025: 0.69x

Reitir fasteignafélag hf (REITIR) has a Cash Flow Quality Index of 0.69x as of September 2025. Operating cash flow of Ikr2.08 Billion is below net income of Ikr2.99 Billion, suggesting accrual-heavy earnings not yet converted to cash. Also explore total assets of Reitir fasteignafélag hf for the complete picture of this company's asset base.

Cash Flow Quality Index

0.69x
Operating CF / Net Income

Operating Cash Flow

Ikr2.08 Billion
ISK

Net Income

Ikr2.99 Billion
ISK

Data as of

Sep 2025
Most recent filing

Reitir fasteignafélag hf Cash Flow Quality Index (2014–2024)

Historical Cash Flow Quality Index for Reitir fasteignafélag hf across 11 annual periods. Values consistently above 1.0x indicate high-quality earnings. Check REITIR goodwill-adjusted equity ratio to evaluate the tangible quality of the company's equity base.

Annual Cash Flow Quality Index for Reitir fasteignafélag hf (2014–2024)

Year-by-year earnings quality comparison for Reitir fasteignafélag hf. For live market cap and the full company financial profile, see Reitir fasteignafélag hf stock valuation.

Year Quality Index Operating CF (ISK) Net Income YoY Change
2024 0.46x Ikr7.04 Billion Ikr15.27 Billion ▼ -50.7%
2023 0.94x Ikr7.02 Billion Ikr7.50 Billion ▼ -90.1%
2022 9.45x Ikr6.36 Billion Ikr673.00 Million ▲ +1500.4%
2021 0.59x Ikr4.48 Billion Ikr7.58 Billion ▼ -58.9%
2020 1.44x Ikr2.80 Billion Ikr1.95 Billion ▲ +7.3%
2019 1.34x Ikr4.46 Billion Ikr3.32 Billion ▼ -96.4%
2018 36.87x Ikr4.06 Billion Ikr110.00 Million ▲ +4359.5%
2017 0.83x Ikr4.69 Billion Ikr5.67 Billion ▼ -54.5%
2016 1.82x Ikr4.40 Billion Ikr2.42 Billion ▲ +258.2%
2015 0.51x Ikr3.76 Billion Ikr7.40 Billion ▲ +7.8%
2014 0.47x Ikr1.16 Billion Ikr2.46 Billion
Cash Flow Quality Index = Operating Cash Flow / Net Income. Ratios above 1.0x indicate cash-backed earnings.