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Sl Green Realty (SLG) Cash from Financing Activities (2024 - 2025)

Sl Green Realty's Cash from Financing Activities history spans 7 years, with the latest figure at $240.7 million for Q4 2025.

  • For Q4 2025, Cash from Financing Activities rose 221.62% year-over-year to $240.7 million; the TTM value through Dec 2025 reached $202.3 million, up 194.51%, while the annual FY2025 figure was $252.8 million, 200.21% up from the prior year.
  • Cash from Financing Activities reached $240.7 million in Q4 2025 per SLG's latest filing, up from $17.6 million in the prior quarter.
  • In the past five years, Cash from Financing Activities ranged from a high of $240.7 million in Q4 2025 to a low of -$197.9 million in Q4 2024.