GasLog Partners LP (GLOP)

NYSE: GLOP · IEX Real-Time Price · USD
6.24
+0.07 (1.13%)
At close: Aug 17, 2022 4:00 PM
6.20
-0.04 (-0.64%)
After-hours: Aug 17, 2022 7:58 PM EDT

Cash Flow Statement (Quarterly)

Financials in millions USD. Fiscal year is January - December.
Millions USD. Fiscal year is Jan - Dec.
Quarter Ended 2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-30
Net Income
0.7634.98-70.7826.4914.6635.3622.6111.878.2114.17-106.3629.4319.1423.0225.0633.0329.637.2955.1131.0129.229.8941.2920.0422.5316.0132.0119.2315.8316.6913.4620.246.617.798.57.118.4
Depreciation & Amortization
22.2221.9922.7321.2820.820.6921.2120.5820.6820.622.4822.8222.1421.8722.1322.1323.2420.0932.0518.5319.7716.729.7714.0813.9112.5322.611.110.9311.0717.0211.986.63.964.054.06-
Share-Based Compensation
0.20.260.110.10.090.070.081.170.360.30.40.250.250.260.270.270.260.240.240.240.240.140.140.140.140.070.070.070.070000000-
Other Operating Activities
40.371.4106.7513.6922.04-0.6914.2416.5436.59.24184.2724.5920.4318.8921.4-1.6232.12-5.6348.2911.0514.359.4316.2721.8312.3319.8313.3310.340.942.8630.6330.0614.08-5.49-4.44.19-8.4
Operating Cash Flow
63.5658.6258.8161.5657.5955.4358.1450.1665.7544.3100.7977.0961.9664.0468.8553.8185.2251.99135.6860.8363.5556.1587.4756.0848.9148.446840.7427.7730.6161.1162.2727.296.268.1515.37-
Operating Cash Flow Growth
10.36%5.77%1.16%22.73%-12.41%25.10%-42.32%-34.93%6.13%-30.82%46.38%43.27%-27.30%23.17%-49.25%-11.55%34.10%-7.41%55.13%8.46%29.94%15.92%28.62%37.66%76.13%58.24%11.28%-34.58%1.76%389.16%650.25%305.30%-----
Capital Expenditures
-0.25-0.97-4.02-3.18-6.56-5.69-4.62-6.98-6.56-5.47-5.31.54-4.521.81-6.45-4.11-5.37-8.24-2.85-1.51-0.46-0.24-168.6-162.78-169.59-1.17-2.71-5.3-0-0.01-1.59-474.49-312.96-0.1400-
Acquisitions
0000000000000000000000000006.0817.76-23.84000000-
Change in Investments
-10002.5-2.500000910-14503-8-51.501.56-4.500000417.7-4.01-14.69-31.5-1.50-
Other Investing Activities
0.110.02117.580.010.010.010.010.010.090.220.340.480.580.550.840.570.520.420.410.250.250.120.090.090.010.020.0200.010.020.020.010.010.010.010.010
Investing Cash Flow
-10.14-0.96113.56-0.67-9.05-5.67-4.61-6.97-6.47-5.254.0412.02-17.947.35-5.61-0.54-12.85-12.82-0.94-1.261.35.88-173.01-162.69-169.58-1.15-2.690.7821.76-6.13-5.57-489.17-315.961.36-1.490.01-
Dividends Paid
-7.42-7.63-7.81-7.93-8.07-8.07-8.07-13.6-13.55-34.34-34.02-34.22-34.49-35.22-31.17-29.73-29.73-27.46-25.48-25.13-20.12-19.55-17.08-17.08-15.71-15.71-15.71-14.05-10.72-10.72-9.24-4.130000-
Share Issuance / Repurchase
0.020-6.03-12.3610.210000-1-0.86-12.11-7.9306.1455.420.9609.1745.489.5180.14053.8300-00176.5303.14133.63189.17000-
Debt Issued / Paid
-19.87-37.02-116.23-36.1-18.92-36.14-18.94-12.22-23.25-6.84-25.2-27.1757.13-25.44-48.38-30.95-23.38-105.69-80.61-29.18-30.96-29.17145.56138.08156.58-17.63-46.59-15.63-5.63-5.63-41.66320.72129.59-6.05-6.05-6.05-
Other Financing Activities
-14.8-22.61-6.98-14.1-7.04-14.19-1.75-10.62-11.64-32.4-67.881.09-94.04-5.47-12.61-0.28-19.5111.23-71.52-55.870.86-0.12-91.77-6.78-8.09-8.81-5.69-173.53-0.77-8.16-22.07-5.524.22-0.030-0.150
Financing Cash Flow
-42.08-67.27-137.04-70.5-23.82-58.4-28.76-36.44-48.44-74.58-127.96-72.41-79.33-66.13-86.02-5.53-71.65-21.93-168.44-64.6329.2931.336.71168.04132.79-42.15-67.98-203.2159.42-24.51-69.84444.72342.98-6.08-6.05-6.2-
Net Cash Flow
11.34-9.635.32-9.6124.72-8.6424.786.7510.85-35.5231.06-3.19-49-15.36-37.128.93-11.83-0.31-53.59-21.2683.3878.17-62.8452.396.99-2.65-16.53-167.44202.84-4.44-32.5215.6149.23-1.81-2.835.72-
Free Cash Flow
63.3157.6554.7958.3851.0449.7453.5243.1859.1938.8495.4978.6357.4465.8462.449.6979.8543.75132.8359.3263.0955.91-81.13-106.69-120.6847.2765.2935.4427.7630.659.52-412.22-285.676.128.1515.37-
Free Cash Flow Growth
24.05%15.90%2.37%35.19%-13.78%28.07%-43.95%-45.08%3.06%-41.01%53.02%58.23%-28.07%50.50%-53.02%-16.23%26.56%-21.74%---18.27%---54.47%9.69%--400.28%630.77%------
Free Cash Flow Margin
74.60%67.50%62.10%72.50%72.50%57.10%62.90%59.30%70.10%42.50%98.90%81.50%62.60%70.10%66.00%51.10%86.70%47.70%91.20%68.70%73.90%72.40%-61.90%-161.60%-188.40%84.20%64.80%68.90%57.80%63.40%76.80%-806.30%-901.40%29.50%38.40%72.50%-
Free Cash Flow Per Share
1.201.091.031.111.031.001.080.881.200.792.101.731.261.451.521.211.951.075.412.412.572.27-3.72-4.89-5.532.173.321.801.411.563.03-20.98-14.540.310.41--
Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).