KPIs & Operating Metrics(New)
Growth Metrics

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

Sl Green Realty (SLG) has disclosed Cash from Financing Activities for 6 consecutive years, with $141.9 million as the latest value for Q3 2024.

  • For the quarter ending Q3 2024, Cash from Financing Activities changed N/A year-over-year to $141.9 million, compared with a TTM value of $264.9 million through Sep 2024, changed N/A, and an annual FY2024 reading of -$252.2 million, changed N/A over the prior year.
  • Cash from Financing Activities was $141.9 million for Q3 2024 at Sl Green Realty, up from -$260.1 million in the prior quarter.
  • Across five years, Cash from Financing Activities topped out at $141.9 million in Q3 2024 and bottomed at $141.9 million in Q3 2024.