Piedmont Realty Trust, Inc.

PDM ·Real Estate, Real Estate Services, United States
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2009
Operating Activities
Net Income $74.7M
Depreciation & Amortization $140.1M
Depreciation $106.1M
Amortization $56.1M
Stock-Based Compensation $2.9M
Net Cash from Operating Activities $281.5M
Investing Activities
Capital Expenditures $37.5M
Business Acquisitions
Net Cash from Investing Activities $-68.7M
Financing Activities
Dividends Paid
Stock Repurchases $0
Net Cash from Financing Activities $-223.2M
Net Change in Cash $-10.3M
Free Cash Flow $244.1M
← Newer Page 3 of 3 Older →