Company / Operating Cash Flow
Strawberry Fields REIT, Inc. Operating Cash Flow History
FY2021-FY2025 · Annual data · Source: SEC filings
At a glance
Latest annual filing availableLatest Operating Cash Flow
$90.0M
FY2025
5-year range
$44.8M / $90.0M
FY2021-FY2025
Trend
+51.8%
vs FY2024
Sector context
#118 of 143
Real Estate
What the data says
Strawberry Fields REIT, Inc.'s operating cash flow of $90M is lower than 83% of companies in the Real Estate sector (FY2025). Operating Cash Flow has increased for 4 consecutive years, from $45M in FY2021 to $90M in FY2025.
Based on SEC 10-K filings.
$90M in FY2025 with a 3-year CAGR of +20.9%.
Improved from $55M to $90M over the past 2 years.
Real Estate sector context is included.
Operating Cash Flow over time
Growth rates
- 3-Year CAGR
- +20.9%
- 5-Year CAGR
- -
- 10-Year CAGR
- -
Sector benchmark
Bottom 17% in Real EstateTop 83% of 143This company $90.0M Sector average $680.2M
▼
-86.8% below sector average
Key checks
Key Insights
- Strawberry Fields REIT, Inc.'s operating cash flow has grown for 4 consecutive years.
- 3-year CAGR of +20.9%, indicating consistent growth.
- In FY2025, operating cash flow increased 51.8% year-over-year.
- Ranks #118 out of 143 companies in the Real Estate sector.
Company context
Key Data Points
- Altman Z-Score 0.48 (distress zone, below 1.8 threshold)
- High earnings quality (cash-backed earnings)
Data sourced from SEC EDGAR filings. Not investment advice.
Annual data
| Year | Operating Cash FlowValue | YoY GrowthYoY |
|---|---|---|
| FY2025 | $90.0M | +51.8% |
| FY2024 | $59.3M | +8.0% |
| FY2023 | $54.9M | +7.9% |
| FY2022 | $50.9M | +13.7% |
| FY2021 | $44.8M | - |
As of FY2025 · SEC 10-K · Updated Mar 28, 2026