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Salud financiera de hoja de balance de iStar
Salud financiera controles de criterios 5/6
Información clave
117.9%
Ratio deuda-patrimonio
US$1.68b
Deuda
Ratio de cobertura de intereses | 0.04x |
Efectivo | US$1.44b |
Patrimonio | US$1.43b |
Total pasivo | US$1.83b |
Activos totales | US$3.25b |
Actualizaciones recientes sobre salud financiera
No hay actualizaciones
Recent updates
iStar Q4 2022 Earnings Preview
Feb 20iStar declares $0.125 dividend
Aug 18iStar Q2 2022 Earnings Preview
Aug 03iStar: Why I Am Not Buying Just Yet
Jan 28iStar: The REIT Innovator Poised For Future Growth
Nov 04Why I Tripled Down On iStar
Aug 07iSTAR: The Time To Invest Is Now
Jul 09iSTAR: 2 Scoops For The Price Of 1
Jun 11One iStar Inc. (NYSE:STAR) Analyst Just Slashed Their Estimates By A Significant 50%
Feb 28Earnings Update: iStar Inc. (NYSE:STAR) Just Reported And Analysts Are Trimming Their Forecasts
Feb 26Do Institutions Own iStar Inc. (NYSE:STAR) Shares?
Feb 18How Much is iStar's (NYSE:STAR) CEO Getting Paid?
Dec 29The iStar (NYSE:STAR) Share Price Has Gained 29% And Shareholders Are Hoping For More
Nov 24iStar (STAR) Investor Presentation - Slideshow
Nov 20The Huge Opportunity In iStar
Nov 15iStar reports Q3 results
Nov 03Análisis de la situación financiera
Pasivos a corto plazo: STAR's short term assets ($1.5B) exceed its short term liabilities ($111.3M).
Pasivo a largo plazo: STAR's short term assets ($1.5B) do not cover its long term liabilities ($1.7B).
Historial y análisis de deuda-patrimonio
Nivel de deuda: STAR's net debt to equity ratio (16.8%) is considered satisfactory.
Reducción de la deuda: STAR's debt to equity ratio has reduced from 392.1% to 117.9% over the past 5 years.
Hoja de balance
Análisis de cash runway
En el caso de las empresas que de media han sido deficitarias en el pasado, evaluamos si tienen al menos 1 año de cash runway.
Cash runway estable: Whilst unprofitable STAR has sufficient cash runway for more than 3 years if it maintains its current positive free cash flow level.
Pronóstico de cash runway: STAR is unprofitable but has sufficient cash runway for more than 3 years, even with free cash flow being positive and shrinking by 19.9% per year.