Growth Metrics

Strawberry Fields REIT (STRW) Cash from Investing Activities (2021 - 2025)

Strawberry Fields REIT (STRW) has disclosed Cash from Investing Activities for 5 consecutive years, with -$66.8 million as the latest value for Q3 2025.

  • On a quarterly basis, Cash from Investing Activities fell 238.45% to -$66.8 million in Q3 2025 year-over-year; TTM through Sep 2025 was -$201.0 million, a 461.41% decrease, with the full-year FY2024 number at -$136.8 million, down 28.61% from a year prior.
  • Cash from Investing Activities was -$66.8 million for Q3 2025 at Strawberry Fields REIT, down from -$11.7 million in the prior quarter.
  • In the past five years, Cash from Investing Activities ranged from a high of $7.2 million in Q4 2023 to a low of -$109.1 million in Q3 2023.
  • A 5-year average of -$24.7 million and a median of -$7.8 million in 2022 define the central range for Cash from Investing Activities.
  • Biggest YoY gain for Cash from Investing Activities was 541.3% in 2023; the steepest drop was 12648.71% in 2023.
  • Strawberry Fields REIT's Cash from Investing Activities stood at $5.1 million in 2021, then tumbled by 132.24% to -$1.6 million in 2022, then soared by 541.3% to $7.2 million in 2023, then crashed by 1401.94% to -$93.8 million in 2024, then grew by 28.72% to -$66.8 million in 2025.
  • Per Business Quant, the three most recent readings for STRW's Cash from Investing Activities are -$66.8 million (Q3 2025), -$11.7 million (Q2 2025), and -$28.8 million (Q1 2025).