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Blue Owl Technology Finance Corp

OTF

14.925USD

-0.185-1.22%
Market hours ETQuotes delayed by 15 min
6.94BMarket Cap
22.65P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
586.40%542.22M
-35.94%161.74M
-164.59%-153.59M
-111.17%-22.99M
547.92%79.00M
--252.47M
--237.80M
--205.90M
--12.19M
Net income from continuing operations
-14.02%78.13M
-0.88%100.70M
110.44%119.54M
-92.87%8.12M
-6.21%90.87M
--101.59M
--56.80M
--113.85M
--96.89M
Other non-cash items
4125.74%626.93M
-42.30%-34.21M
22.92%-9.78M
-23.04%-25.27M
4.97%-15.57M
---24.04M
---12.69M
---20.54M
---16.39M
Change in working capital
-941.63%-178.91M
-40.36%120.34M
-217.57%-205.57M
-149.96%-86.75M
174.97%21.26M
--201.79M
--174.85M
--173.64M
---28.35M
-Change in receivables
271.26%22.85M
268.46%15.93M
20.62%-6.62M
36.38%6.30M
-369.00%-13.34M
--4.32M
---8.35M
--4.62M
---2.84M
-Change in prepaid expenses
139.64%10.98M
105946.15%27.52M
-8284.04%-33.62M
2986.25%24.47M
-4691.52%-27.70M
---26.00K
---401.00K
--793.00K
---578.00K
-Change in other current liabilities
-67.00%-40.92M
128.33%54.95M
-280.49%-17.14M
107.57%9.77M
-2173.01%-24.50M
--24.07M
---4.51M
--4.71M
--1.18M
Cash from non-recurring investing activities
Cash from operating activities
586.40%542.22M
-35.94%161.74M
-164.59%-153.59M
-111.17%-22.99M
547.92%79.00M
--252.47M
--237.80M
--205.90M
--12.19M
Investing cash flow
Cash from non-current investing activities
Financing cash flow
Cash flow from continuous financing activities
518.89%201.79M
-105.67%-91.22M
115.77%8.87M
57.76%-145.65M
-1829.77%-48.17M
---44.35M
---56.23M
---344.84M
--2.79M
Net cash flow from debt Issuance/repayment
3629.17%320.00M
-274.06%-23.65M
744.81%70.00M
69.40%-89.45M
-82.12%8.58M
--13.59M
--8.29M
---292.29M
--48.00M
Net cash flow from other financing activities
-108.27%-118.21M
-16.61%-67.56M
5.25%-61.13M
-6.93%-56.19M
-25.52%-56.76M
---57.94M
---64.52M
---52.55M
---45.22M
Net cash from non-recurrent financing activities
Net cash from financing activities
518.89%201.79M
-105.67%-91.22M
115.77%8.87M
57.76%-145.65M
-1829.77%-48.17M
---44.35M
---56.23M
---344.84M
--2.79M
Net cash flow
Beginning cash balance
-45.20%257.00M
-28.53%186.47M
317.51%331.20M
129.00%499.84M
130.71%469.02M
--260.90M
--79.33M
--218.27M
--203.29M
Current period cash flow changes
2313.99%744.01M
-66.11%70.53M
-179.71%-144.73M
-21.37%-168.64M
105.79%30.82M
--208.12M
--181.57M
---138.94M
--14.98M
Ending cash balance
100.27%1.00B
-45.20%257.00M
-28.53%186.47M
317.51%331.20M
129.00%499.84M
--469.02M
--260.90M
--79.33M
--218.27M
Currency unit
USD
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