Piedmont Realty Trust, Inc. β Cash Flow Charts
63 quarters of history Β· ending 2025-12-31 Β· SEC EDGAR
Operating Cash Flowβ-21.7% -$14M
$51M
Free Cash Flowβ-21.7% -$14M
$51M
Investing Cash Flowβ-1921.7% -$38M
$-40M
Financing Cash Flow
$14M
Capexβ-62.5% -$44M
$26M
Stock Buybacks
$0
Dividends Paidβ-94.0% -$203K
$13K
Stock-Based Compβ-25.8% -$848K
$2M
Debt Issued
$445M
Debt Repaidβ+47233.6% +$414M
$415M
D&Aβ+6.8% +$3M
$43M