7Baggers

Sixth Street Specialty Lending Quarterly Cash Flow Statements Chart

Quarterly
 | 
Annual
 
 Operating Cashflow  
 Investing Cashflow  
 Financing Cashflow  
20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 -244.1-173.91-103.73-33.5436.64106.83177.01247.2Milllion

Sixth Street Specialty Lending Quarterly Cash Flow Statements Table

Quarterly
 | 
Annual
 
Unit: USD2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 
  net cash from operating activities-86,868,000 36,661,000 -113,077,000 -73,504,000 54,290,000 -244,096,000 -115,876,000 81,150,000 -73,459,000 
  net cash from investing activities-8,760,000 -7,838,000 -6,635,000 -6,008,000 -4,738,000 -1,710,000    
  net cash from financing activities82,184,000 -32,636,000 113,195,000 73,594,000 -58,923,000 247,199,000 119,559,000 -73,623,000 71,164,000 
  capital expenditure

We provide you with 20 years of cash flow statements for Sixth Street Specialty Lending stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as operating cash flows, cash levels, capital expenditures, profits, stock-based compensations and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Sixth Street Specialty Lending stock. Explore the full financial landscape of Sixth Street Specialty Lending stock with our expertly curated income statements.

The information provided in this report about Sixth Street Specialty Lending stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.