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AAR Corp Cash from Financing Activities Chart (AIR)

AAR Corp annual/quarterly Cash from Financing Activities from 2010 to 2020.
  • AAR Corp Cash from Financing Activities for the quarter ending August 08, 2020 was $-348m a 96.64% decrease of -336m year over year
  • AAR Corp Cash from Financing Activities for the last 12 months ending August 08, 2020 was $44m a 218.26% increase of 96m year over year
  • AAR Corp Annual Cash from Financing Activities for 2020 was $445m a 110.96% increase of 493m from 2019
  • AAR Corp Annual Cash from Financing Activities for 2019 was $-49m a 120.53% decrease of -59m from 2018
  • AAR Corp Annual Cash from Financing Activities for 2018 was $10m a 221.00% increase of 22m from 2017
Other Cash Flow Metrics:
  • AAR Corp Cash Flow from Operations for the quarter ending February 02, 2019 was $60m a 47.67% increase of 29m year over year
  • AAR Corp Levered Free Cash Flow (FCF) for the quarter ending February 02, 2019 was $93m a 68.70% increase of 64m year over year
  • AAR Corp Total Revenue for the quarter ending February 02, 2019 was $530m a 10.58% increase of 56m year over year
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Quarterly AIR Cash from Financing Activities Data

08/2020$-348m
05/2020$392m
02/2020$12m
11/2019$-12m
08/2019$53m
05/2019$-47m
02/2019$-46m
11/2018$9m
08/2018$35m
05/2018$-18m

Annual AIR Cash from Financing Activities Data

2020$445m
2019$-49m
2018$10m
2017$-12m
2016$-38m
2015$-678m
2014$-86m
2013$-124m
2012$307m
2011$-12m