Greystone Housing Impact Investors LP Beneficial Unit
6.58
USD
-0.04
-0.63%
Dec 12, 16:00 UTC -5
Closed
After-Market
6.57
-0.01
-0.20%
Greystone Housing Impact Investors LP Beneficial Unit Profile
About
Greystone Housing Impact Investors LP involved in purpose of acquiring, holding, selling and otherwise dealing with a portfolio of mortgage revenue bonds which have been issued to provide construction and/or permanent financing for affordable multifamily, student housing and commercial properties. Greystone Housing Impact Investors LP, formerly known as America First Multifamily Investors L.P., is based in OMAHA, Neb.
Info & Links
CEO
Kenneth C. Rogozinski
Headquarters
14301 FNB PARKWAY, SUITE 211 OMAHA, NE 68154, UNITED STATES
Greystone Housing Impact Investors LP Beneficial Unit Statistics
Valuation Measures
Market Capitalization2
154.82M
Enterprise Value
1.22B
Enterprise Value/EBITDA(ttm)
16.35
Price to Earnings Ratio(ttm)
7.03
Price to Sales(ttm)
1.66
Price to Book(mrq)
0.53
Price to Cash(ytd)
7.81
Profitability
Gross Margin(ttm)
0.00%
Operating Margin(ttm)
25.41%
Profit Margin(ttm)
5.45%
Return on Equity(ttm)
8.07%
Return on Invested Capital(ttm)
0.55%
Return on Assets(ttm)
1.55%
Income Statement
Revenue(ttm)
92.98M
Revenue Per Share(ttm)
3.94
Gross Profit(ttm)
0.00
EBITDA(ttm)3
74.48M
Net Income Available to Common(ttm)
4.79M
Diluted EPS(ttm)
0.18
Share Statistics
Beta (5Y Monthly)
0.58
52-Week Change
-40.25%
S&P 500 52-Week Change
12.40%
S&P 500 Member
Yes
Stock Optionable
Yes
Total Shares Outstanding1
23.58M
Dividend Yield
18.35%
Float4
23.16M
% Held by Insiders
1.80%
% Held by Institutions
9.01%
Balance Sheet
Total Cash(mrq)
49.62M
Total Cash Per Share(mrq)
2.10
Total Debt(mrq)
1.06B
Total Debt/Equity(mrq)
364.64%
Current Ratio(mrq)
--
Quick Ratio(mrq)
6.63%
Book Value Per Share(mrq)
12.36
Cash Flow
Operating Cash Flow Per Share(ytd)
1.25
Free Cash Flow(ytd)
30.26M
Table Key
mrq = Most Recent Quarter
ttm = Trailing Twelve Months
ytd = Year To Date
Footnotes
Data provided by Zacks Investment Research or calculated by FXEmpire. All numbers are rounded to the closest decimal.
1 Total Shares outstanding is taken from the most recently filed quarterly or annual report.
2 Market Cap is calculated using total shares outstanding and the most recent share price.
3 EBITDA is calculated using methodology that may differ from that used by a company in its reporting.
4 The float is a measure of the number of shares available for trading by the public. It's calculated by taking the number of issued and outstanding shares minus any restricted stock, which might not be publicly traded.