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Textainer Group Holdings Cash from Financing Activities Chart (TGH)

Textainer Group Holdings annual/quarterly Cash from Financing Activities from 2010 to 2020.
  • Textainer Group Holdings Cash from Financing Activities for the quarter ending June 06, 2020 was $-45m a 665.48% decrease of -302m year over year
  • Textainer Group Holdings Cash from Financing Activities for the last 12 months ending June 06, 2020 was $119m a -350.63% decrease of -417m year over year
  • Textainer Group Holdings Annual Cash from Financing Activities for 2019 was $386m a -5.69% decrease of -22m from 2018
  • Textainer Group Holdings Annual Cash from Financing Activities for 2018 was $408m a 117.24% increase of 479m from 2017
  • Textainer Group Holdings Annual Cash from Financing Activities for 2017 was $-70m a 93.44% decrease of -66m from 2016
Other Cash Flow Metrics:
  • Textainer Group Holdings Cash Flow from Operations for the quarter ending December 12, 2018 was $29m a -124.18% decrease of -36m year over year
  • Textainer Group Holdings Levered Free Cash Flow (FCF) for the quarter ending December 12, 2018 was $-482m a 64.67% decrease of -312m year over year
  • Textainer Group Holdings Total Revenue for the quarter ending December 12, 2018 was $170m a 21.74% increase of 37m year over year
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Quarterly TGH Cash from Financing Activities Data

06/2020$-45m
03/2020$-150m
12/2019$58m
09/2019$256m
06/2019$98m
03/2019$-26m
12/2018$208m
09/2018$-40m
06/2018$61m
03/2018$178m

Annual TGH Cash from Financing Activities Data

2019$386m
2018$408m
2017$-70m
2016$-5m
2015$-84m
2014$223m
2013$288m
2012$733m
2011$529m
2010$139m