Mid-America Apartment Communities Inc (MAA) — Cash Flow Reinvestment Rate

Latest as of March 2026: 0.89x

Mid-America Apartment Communities Inc (MAA) has a Cash Flow Reinvestment Rate of 0.89x as of March 2026, reinvesting $133.62 Million (capex $133.62 Million ) from operating cash flow of $149.64 Million. Explore MAA capital reinvestment ratio to see what proportion of operating cash flow is directed to capital expenditures.

Reinvestment Rate

0.89x
(Capex + Investments) / Operating CF

Total Reinvested

$133.62 Million
Capex + Investments

Operating Cash Flow

$149.64 Million
USD

Capital Expenditures

$133.62 Million
USD

Mid-America Apartment Communities Inc Cash Flow Reinvestment Rate (1994–2025)

Historical reinvestment intensity for Mid-America Apartment Communities Inc across 32 annual periods. Also explore Mid-America Apartment Communities Inc assets under control for the complete picture of this company's asset base.

Annual Cash Flow Reinvestment Rate for Mid-America Apartment Communities Inc (1994–2025)

Year-by-year capital reinvestment analysis for Mid-America Apartment Communities Inc. For live market cap and broader valuation context, see Mid-America Apartment Communities Inc market cap and net worth.

Year Reinvestment Rate Total Reinvested (USD) Operating CF Capex YoY Change
2025 0.33x $360.24 Million $1.08 Billion $360.24 Million ▼ -68.0%
2024 1.05x $1.15 Billion $1.10 Billion $322.37 Million ▲ +56.3%
2023 0.67x $760.39 Million $1.14 Billion $341.22 Million ▲ +128.7%
2022 0.29x $309.49 Million $1.06 Billion $296.18 Million ▼ -7.8%
2021 0.32x $283.81 Million $894.97 Million $279.63 Million ▼ -39.5%
2020 0.52x $431.94 Million $823.95 Million $426.94 Million ▲ +110.0%
2019 0.25x $195.09 Million $781.42 Million $190.20 Million ▼ -28.5%
2018 0.35x $256.26 Million $734.29 Million $254.72 Million ▼ -63.2%
2017 0.95x $627.33 Million $660.80 Million $343.89 Million ▲ +147.6%
2016 0.38x $185.98 Million $485.00 Million $183.98 Million ▲ +7.1%
2015 0.36x $166.05 Million $463.72 Million $166.02 Million ▲ +30.0%
2014 0.28x $106.17 Million $385.38 Million $90.20 Million ▲ +33.2%
2013 0.21x $53.44 Million $258.38 Million $53.44 Million ▼ -21.4%
2012 0.26x $55.53 Million $210.97 Million $47.22 Million ▼ -3.4%
2011 0.27x $46.95 Million $172.29 Million $46.95 Million ▼ -1.2%
2010 0.28x $36.90 Million $133.79 Million $26.50 Million ▼ -77.8%
2009 1.24x $174.47 Million $140.28 Million $174.47 Million ▼ -19.7%
2008 1.55x $216.61 Million $139.79 Million $216.61 Million ▲ +38.0%
2007 1.12x $133.19 Million $118.58 Million $133.19 Million ▼ -49.6%
2006 2.23x $225.77 Million $101.33 Million $225.77 Million ▲ +67.1%
2005 1.33x $132.94 Million $99.69 Million $132.94 Million ▼ -38.3%
2004 2.16x $190.72 Million $88.23 Million $190.72 Million ▲ +18.3%
2003 1.83x $144.77 Million $79.24 Million $144.77 Million ▲ +122.3%
2002 0.82x $66.64 Million $81.08 Million $66.64 Million ▲ +106.3%
2001 0.40x $36.11 Million $90.64 Million $36.11 Million ▼ -66.9%
2000 1.20x $85.66 Million $71.16 Million $85.66 Million ▲ +162.4%
1999 0.46x $34.40 Million $75.00 Million $34.40 Million ▼ -81.9%
1998 2.54x $204.03 Million $80.41 Million $204.03 Million ▲ +17.8%
1997 2.15x $96.50 Million $44.80 Million $96.50 Million ▼ -6.4%
1996 2.30x $87.53 Million $38.02 Million $87.53 Million ▲ +130.2%
1995 1.00x $35.00 Million $35.00 Million $35.00 Million ▼ -91.2%
1994 11.38x $217.30 Million $19.10 Million $217.30 Million
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow