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Fgl Holdings Cash from Investing Activities Chart (FG)

Fgl Holdings annual/quarterly Cash from Investing Activities from 2016 to 2020.
  • Fgl Holdings Cash from Investing Activities for the quarter ending March 03, 2020 was $-521m a -147.22% increase of 767m year over year
  • Fgl Holdings Cash from Investing Activities for the last 12 months ending March 03, 2020 was $-2,493m a -13.04% increase of 325m year over year
  • Fgl Holdings Annual Cash from Investing Activities for 2019 was $-1,568m a -45.41% increase of 712m from 2018
  • Fgl Holdings Annual Cash from Investing Activities for 2018 was $-2,280m a 88.42% decrease of -2,016m from 2017
  • Fgl Holdings Annual Cash from Investing Activities for 2017 was $-264m a -213.64% increase of 564m from 2016
Other Cash Flow Metrics:
  • Fgl Holdings Cash Flow from Operations for the quarter ending September 09, 2018 was $177m a -429.54% decrease of -760m year over year
  • Fgl Holdings Levered Free Cash Flow (FCF) for the quarter ending September 09, 2018 was $34m a 3,912.58% increase of 1,345m year over year
  • Fgl Holdings Total Revenue for the quarter ending December 12, 2018 was $-211m a 165.40% decrease of -349m year over year
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Quarterly FG Cash from Investing Activities Data

03/2020$-521m
12/2019$-455m
09/2019$-229m
06/2019$-1,288m
03/2019$404m
12/2018$-584m
09/2018$-1,350m
06/2018$31m
03/2018$-377m
12/2017$107m

Annual FG Cash from Investing Activities Data

2019$-1,568m
2018$-2,280m
2017$-264m
2016$-828m