Piedmont Realty Trust, Inc. β Cash Flow Charts
17 years of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ-42.0% -$102M
$141M
Free Cash Flowβ-42.0% -$102M
$141M
Investing Cash Flowβ+52.5% +$194M
$-175M
Financing Cash Flowβ-159.6% -$202M
$-75M
Capexβ+155.3% +$177M
$291M
Stock Buybacksβ-100.0% -$17M
$0
Dividends Paidβ-70.3% -$73M
$31M
Stock-Based Compβ-12.0% -$1M
$10M
Debt Issuedβ+26.4% +$208M
$998M
Debt Repaidβ+87.1% +$467M
$1.00B
D&Aβ+21.4% +$32M
$181M