Growth Metrics

FreightCar America (RAIL) Cash from Restructuring (2020 - 2021)

FreightCar America (RAIL) has disclosed Cash from Restructuring for 3 consecutive years, with -$120000.0 as the latest value for Q2 2021.

  • On a quarterly basis, Cash from Restructuring changed N/A to -$120000.0 in Q2 2021 year-over-year; TTM through Mar 2022 was -$120000.0, a 100.34% decrease, with the full-year FY2021 number at $6.5 million, down 64.37% from a year prior.
  • Cash from Restructuring was -$120000.0 for Q2 2021 at FreightCar America, down from $6.6 million in the prior quarter.
  • In the past five years, Cash from Restructuring ranged from a high of $26.5 million in Q3 2020 to a low of -$8.5 million in Q4 2020.