Fair Oaks Income Limited (FAIR) — Cash Flow Reinvestment Rate
Latest as of December 2019:
0.00x
Fair Oaks Income Limited (FAIR) has a Cash Flow Reinvestment Rate of 0.00x as of December 2019, reinvesting $0.00 (capex $0.00 ) from operating cash flow of $39.56 Million. See FAIR equity to assets ratio to measure how much of total assets are equity-financed.
Reinvestment Rate
0.00x
(Capex + Investments) / Operating CF
Total Reinvested
$0.00
Capex + Investments
Operating Cash Flow
$39.56 Million
USD
Capital Expenditures
$0.00
USD
Fair Oaks Income Limited Cash Flow Reinvestment Rate (2016–2024)
Historical reinvestment intensity for Fair Oaks Income Limited across 7 annual periods. Also explore Fair Oaks Income Limited asset portfolio for the complete picture of this company's asset base.
Annual Cash Flow Reinvestment Rate for Fair Oaks Income Limited (2016–2024)
Year-by-year capital reinvestment analysis for Fair Oaks Income Limited. For live market cap and broader valuation context, see market value of Fair Oaks Income Limited.
| Year | Reinvestment Rate | Total Reinvested (USD) | Operating CF | Capex | YoY Change |
|---|---|---|---|---|---|
| 2024 | 0.00x | $0.00 | $37.33 Million | $0.00 | — |
| 2023 | 0.00x | $0.00 | $44.56 Million | $0.00 | — |
| 2022 | 0.00x | $0.00 | $76.09 Million | $0.00 | — |
| 2021 | 0.00x | $0.00 | $45.79 Million | $0.00 | ▼ -100.0% |
| 2019 | 0.48x | $38.06 Million | $79.12 Million | $0.00 | — |
| 2018 | 0.00x | $0.00 | $16.36 Million | $0.00 | — |
| 2016 | 0.00x | $0.00 | $47.55 Million | $0.00 | — |
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow