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CTO-PA Financial Statements and Analysis

NYSE : CTO-PA

CTO Realty Growth

$22.07
-0.08-0.36%
At Close 4:00 PM

FINANCIAL STATEMENTS

An instrumental part of fundamental analysis is measuring key indicators of an asset, which are the factors that can influence its value and price. However, sometimes investors show more interest in financial statements with other factors to determine whether investing in that company is the right decision. Financial statements of a company include:

  • Balance Sheet
  • Income Statement
  • Cash Flow Statement

Income Statement

A company's income statement helps investors and business owners determine whether the company is profitable or losing money. Profitability is a key factor investors consider before investing in a stock. Income statements provide them with information about a company's profitability over time. The statement also enables them to observe trends in company spending and earnings since it breaks down individual costs and revenues. Income statements also provide details on where a company's money is going when it isn't profitable or its profits fluctuate.

DateJun 30, 2025Mar 31, 2025Sep 30, 2024Jun 30, 2024Mar 31, 2024
reported currencyUSDUSDUSDUSDUSD
calendar year20252025202420242024
periodQ2Q1Q3Q2Q1
revenue37.638M35.811M31.805M28.845M28.127M
cost of revenue10.178M8.891M8.156M19.888M18.503M
gross profit27.46M26.92M23.649M8.957M9.624M
gross profit ratio0.730.7520.7440.3110.342
research and development expenses00000
general and administrative expenses4.448M4.683M4.075M3.459M4.216M
selling and marketing expenses00000
selling general and administrative expenses4.448M4.683M4.075M3.459M4.216M
other expenses014.364M14.614M11.549M-4.216M
operating expenses4.448M19.047M18.689M15.008M4.216M
cost and expenses14.626M27.938M26.845M23.347M22.719M
interest income3.016M0-245.00K1.441M1.351M
interest expense-6.859M5.808M5.387M5.347M5.273M
depreciation and amortization-15.294M-14.364M13.221M11.549M10.931M
ebitda-47.643M-18.188M19.574M17.047M16.339M
ebitda ratio-1.266-0.5080.6150.5910.581
operating income-12.678M7.873M4.96M5.498M5.408M
operating income ratio-0.3370.220.1560.1910.192
total other income expenses net-10.546M-5.561M1.399M-4.242M327.00K
income before tax-23.224M2.312M6.359M1.256M5.735M
income before tax ratio-0.6170.0650.200.0440.204
income tax expense-194.00K-51.00K132.00K73.00K-107.00K
net income-25.296M2.261M6.227M1.183M4.655M
net income ratio-0.6720.0630.1960.0410.165
eps-0.770.010.17-0.030.21
eps diluted-0.770.010.17-0.030.18
weighted average shs out32.679M31.553M25.445M22.787M22.551M
weighted average shs out dil32.728M31.595M25.522M22.787M26.058M
Graph

Balance Sheet

Balance sheet summarizes a company's financials and can be used as a basis by investors to determine the value of a company. It shows the value of the stock, as well as the assets and liabilities of the company. A company's balance sheet displays how its assets are put to use and how those assets are financed, based on the liabilities section. Both investors and analysts analyze a company's balance sheet to determine how it allocates its resources.

DateMar 31, 2025Sep 30, 2024Jun 30, 2024Mar 31, 2024Dec 31, 2023
reported currencyUSDUSDUSDUSDUSD
calendar year20252024202420242023
periodQ1Q3Q2Q1Q4
cash and cash equivalents8.428M8.172M6.157M14.817M17.819M
short term investments39.501M42.997M36.561M35.643M39.445M
cash and short term investments47.929M51.169M6.157M14.817M17.819M
net receivables0115.963M17.457M16.801M73.264M
inventory00300.00K358.00K0
other current assets01.696M1.363M8.057M-91.083M
total current assets180.97M170.19M106.274M130.22M131.923M
property plant equipment net0333.00K354.00K393.00K422.00K
goodwill00000
intangible assets88.931M107.658M95.054M101.039M97.109M
goodwill and intangible assets88.931M107.658M95.054M101.039M97.109M
long term investments0036.561M51.597M52.61M
tax assets02.019M2.147M2.19M2.009M
other non current assets974.002M895.924M769.378M755.644M705.595M
total non current assets1.063B1.006B903.494M910.863M857.745M
other assets00000
total assets1.244B1.176B1.01B1.041B989.668M
account payables1.741M2.075M1.787M2.638M2.758M
short term debt000050.83M
tax payables35.00K8.044M5.153M2.973M2.09M
deferred revenue8.699M6.171M5.371M8.581M10.40M
other current liabilities61.115M4.546M-5.068M-2.946M1.134M
total current liabilities71.59M20.836M66.954M66.03M65.122M
long term debt0546.015M496.426M556.753M495.37M
deferred revenue non current008.897M8.581M10.40M
deferred tax liabilities non current006.522M6.778M-25.914M
other non current liabilities578.43M13.491M13.14M13.544M-12.836M
total non current liabilities578.43M559.506M450.999M512.812M467.02M
other liabilities00000
capital lease obligations019.177M13.765M14.733M10.858M
total liabilities650.02M580.342M517.953M578.842M532.142M
preferred stock47.00K47.00K47.00K30.00K30.00K
common stock318.00K300.00K231.00K229.00K226.00K
retained earnings220.272M261.373M268.269M277.654M281.944M
accumulated other comprehensive income loss5.246M-405.00K15.386M14.404M6.891M
other total stockholders equity368.00M334.467M207.882M169.924M168.435M
total stockholders equity593.883M595.782M491.815M462.241M457.526M
total equity593.883M595.782M491.815M462.241M457.526M
total liabilities and stockholders equity1.244B1.176B1.01B1.041B989.668M
minority interest00000
total investments39.501M42.997M52.613M51.597M52.61M
total debt0546.015M496.426M556.753M506.228M
net debt611.421M537.843M490.269M541.936M488.409M
Graph

Cash Flow

A cash flow statement is regarded as a valuable indicator of profitability and the long-term outlook for a company. It assists the company in evaluating whether it has sufficient funds to cover its expenses. Essentially, a cash flow statement represents an organization's financial health. The cash flow statement, which measures the business's ability to operate in the short as well as long term, is broken down into operating, investing, and financing activities.

DateSep 30, 2024Jun 30, 2024Mar 31, 2024Dec 31, 2023Sep 30, 2023
reported currencyUSDUSDUSDUSDUSD
calendar year20242024202420232023
periodQ3Q2Q1Q4Q3
deferred income tax128.00K43.00K-181.00K354.00K60.00K
stock based compensation750.00K750.00K1.387M871.00K868.00K
change in working capital5.381M-535.00K-2.494M-7.796M882.00K
accounts receivables68.00K-58.00K033.00K1.55M
inventory-1.00K57.00K-54.00K-33.00K-16.00K
accounts payables290.00K-854.00K-120.00K-1.21M-13.00K
other working capital5.024M319.00K-2.374M-6.586M-639.00K
other non cash items-4.514M24.638M19.641M-5.349M-1.241M
net cash provided by operating activities21.193M12.883M11.757M6.476M14.924M
investments in property plant and equipment78.134M-4.722M-73.412M-2.361M-11.014M
acquisitions net-24.501M024.501M62.647M19.386M
purchases of investments-60.399M-709.00K-6.575M-15.748M-17.648M
sales maturities of investments18.517M16.66M3.512M1.174M-8.372M
other investing activites-132.709M11.229M-51.974M025.799M
net cash used for investing activites-174.591M11.229M-51.974M45.712M8.151M
debt repayment-45.00M-59.51M-46.497M-53.048M-11.00M
common stock issued125.904M37.317M2.444M67.00K17.417M
common stock repurchased00-664.00K-1.267M-95.00K
dividends paid-12.908M-10.579M-9.788M-9.709M-9.739M
other financing activites-887.00K-10.00K-1.274M-44.999K-92.00K
net cash used provided by financing activities157.109M-32.772M37.215M-64.002M-3.509M
effect of forex changes on cash00029.929M-19.324M
net change in cash3.711M-8.66M-3.002M-11.814M19.566M
cash at end of period9.868M6.157M14.817M17.819M29.633M
cash at beginning of period6.157M14.817M17.819M29.633M10.067M
operating cashflow21.193M12.883M11.757M6.476M14.924M
capital expenditure78.134M-4.722M-73.412M-2.361M-11.014M
free cash flow99.327M8.161M-61.655M4.115M3.91M
Graph

Frequently Asked Questions

How did CTO Realty Growth, Inc. do last quarter? What was its Total Revenue and Cost of Revenue?
A company's Total Revenue reveals how much money it generates before any expenses or deductions are made. As a result, this metric informs investors/stakeholders how much money the business makes. Tracking and understanding it is essential for evaluating a company's growth. As opposed to revenue, Cost of Revenue is any expenses a business incur to generate revenue. There can be high revenue in a business, but if the costs are high, it won't make a profit and will go out of business when money runs out. Therefore, CTO-PA generated $37.64M in revenue last quarter, while its costs came in at $10.18M.
Last quarter, how much Gross Profit did CTO Realty Growth, Inc. report?
A business's Gross Profit is a key indicator of its profitability and financial performance. In other words, it reflects how efficiently a business uses labor, raw materials, and other resources. CTO Realty Growth, Inc. reported a $27.46M Gross Profit for the quarter ended Sep 30, 2024.
Have CTO-PA's Total Operating Expenses and Operating Income been favorable recently?
Operational Expenses represent the costs a company must incur to generate revenue, which is the ultimate goal of a business, whereas Operating Income shows the revenue left after operational direct and indirect costs have been deducted. CTO-PA incurred $4.45M worth of Operating Expenses, while it generated -$12.68M worth of Operating Income.
How much Net Income has CTO-PA posted recently?
The Net Income of a company is one of the factors investors consider when investing in the company. According to recent earnings report from CTO Realty Growth, Inc., the company generated -$25.30M in Net Income. When a company has a history of consistent net income, investors are more likely to invest in it since they know they will get a return.
At the end of the last quarter, how much Cash and Equivalents did CTO Realty Growth, Inc. have?
The amount of Cash and Cash Equivalents is an effective indicator of the financial strength and well-being of a company. An excess cash situation occurs when a company has more cash and cash equivalents than it needs for operating activities. The amount of Cash and Cash Equivalents available to CTO Realty Growth, Inc. as of the end of the last quarter was $8.43M.
What are CTO-PA's Total Net Receivables for the last quarter?
Total Net Receivables are a company's outstanding debts to its customers. Therefore, it refers to the amount that a company expects to collect from its customers. The higher a company's net receivables are, the more confident it is that it can collect money from its debtors. As of the end of the last quarter, CTO-PA had Total Net Receivables of $0.00.
In terms of Total Assets and Current Assets, where did CTO Realty Growth, Inc. stand at?
An asset with an economic value within a year is considered a current asset. Total assets, however, also include long-term fixed assets, intangible assets, and other non-current assets. The current Assets of CTO-PA were $180.97M, while the Total Assets stand at $1.24B.
As of the last quarter, how much Total Debt did CTO Realty Growth, Inc. have?
The total debt of a business refers to how much it borrows. A company's current and long-term liabilities are added together to calculate its Total Debt. A debt ratio may be taken into account on a balance sheet by financial lenders, investors, and business leaders when making informed decisions about future loans or investments. The total amount of CTO-PA's debt was $0.00 at the end of the last quarter.
What were CTO-PA's Total Liabilities during the last reported quarter?
A company's total liabilities are the sum of all debts it is liable for, including any off-balance shee liabilities it may incur. This can be calculated by adding up all short-term and long-term liabilities. In its last quarter, CTO-PA reported total liabilities of $650.02M.
How much did CTO-PA's Working Capital change over the last quarter?
Working Capital Change for CTO-PA was $5.38M over the last quarter. Working Capital Change refers to the difference between net working capital amounts at the end of one accounting period and the end of another. It tells investors/stakeholders how much the company's cash flow will differ from its Net Income (i.e., after-tax profits). More powerful companies often have positive Change in Working Capital numbers as they have increased control over collecting cash from customers and delaying payments to suppliers.
CTO-PA generated how much cash from operating activities?
An operating cash flow statement usually contains cash from operating activities in the first section. An organization's cash from operating activities refers to the money it takes in and takes out as a result of its regular business operations. CTO-PA generated $21.19M of Cash from Operating Activities during its recently reported quarter.
What was CTO-PA's latest reported Net Change in Cash?
An increase or decrease in cash and cash equivalent balances within a specified period is considered the net change in cash in a cash flow statement. Furthermore, it takes into account cash changes as a result of investments, financing, and operating activities. CTO-PA reported a $3.71M Net Change in Cash in the most recent quarter.
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