AFFO

Related by string. * * AFFO payout ratio . Operations AFFO . From Operations AFFO . FFO AFFO . Adjusted FFO AFFO . FFO AFFO EBITDA . AFFO + GOS . Diluted AFFO *

Related by context. All words. (Click for frequent words.) 82 FFO 73 Operations FFO 72 Distributable Cash 72 Distributable Income 70 FFOPS 70 FFO FFO 69 adjusted distributable cash 68 Adjusted FFO 68 distributable cash 68 Adjusted EBITDA 67 standardized distributable cash 67 adjusted EBITDA 66 EBITDAS 66 adjusted EBITDAR 66 Core FFO 66 Adjusted Earnings 66 Recurring FFO 66 FFO allocable 66 SSNOI 65 distributable cash flow 65 From Operations AFFO 65 EBITDA 65 non GAAP 65 Distributable cash 64 EBITDAX 64 FFOM 64 EBDT 63 Free Cash Flow 63 Adjusted EBITDAR 63 SS NOI 63 normalized FFO 63 Consolidated EBITDA 63 MFFO 63 Adjusted diluted 62 Adjusted Distributable Cash 62 NAREIT FFO 62 Normalized FFO 62 GAAP 61 Diluted FFO 61 Comparable FFO 61 Standardized distributable cash 61 Distributable Earnings 61 OP Unit 61 Adjusted Pro Forma 61 Non GAAP Adjusted EBITDA 61 EBITDAC 61 EBITDA Adjusted EBITDA 61 nonGAAP 61 Distributable Cash Flow 61 useful supplemental 60 Adjusted EPS 60 Normalized EBITDA 60 Consolidated Adjusted EBITDA 60 diluted EPS 60 operating netback 60 Adjusted EBITDAX 60 FIFO EBITDA 60 netincome 60 Pro forma Adjusted EBITDA 60 Payout Ratio 60 ATCF 60 FFO payout ratio 60 income allocable 60 NOI FFO 59 Adjusted Diluted EPS 59 unitholder distributions 59 Property NOI 59 consolidated OIBDA 59 Modified EBITDA 59 Consolidated EBITDAR 59 Payout ratio 59 Distributable 59 Operational EBITDA 59 Projected FFO 59 calculating distributable cash 59 REIT taxable 59 adjusted ebitda 59 Non GAAP 59 Fully Diluted Comparable FFO 58 ANOI 58 EBDDT 58 Adjusted FIFO EBITDA 58 NOI 58 distributable earnings 58 Operations AFFO 58 distributable income 58 operating netbacks 58 FFO AFFO 58 EBITDA EBITDAM EBITDAR 58 CFFO 58 EBITDA distributable cash 57 Discretionary cash 57 FUNDS FROM OPERATIONS 57 NON GAAP MEASURES 57 Comparable EBITDA 57 pro forma EBITDA 57 equity excluding AOCI 57 Pro forma EPS 57 Non GAAP adjusted EBITDA 57 PNOI 57 Normalized EPS 57 pro forma adjusted EBITDA 57 continuingoperations 57 Non GAAP diluted 57 ROIC 57 ROFE 57 Pro forma diluted 57 Diluted earnings 57 items impacting comparability 56 FFO Per Share 56 Standardized Distributable Cash 56 Diluted EPS 56 Adjusted EBITDAS 56 REITs FFO 56 FFO Measures 56 payout ratio 56 AFFO payout ratio 56 Unlevered Cash Flow 56 Adjusted EBITDA excludes 56 diluted FAD 56 Adjusted Basis 56 Net Income 56 EBITDAR 56 FINANCIAL MEASURES 56 EBITDA adjusted EBITDA 56 Cash Distributions 56 TCE ratio 56 GAAP EPS 55 EGI Financial 55 Operating Income 55 Annualized Adjusted EBITDA 55 per dilutedshare 55 Adjusted Earnings Per 55 Adjusted Diluted Earnings 55 Cash Flow Available 55 - - Diluted [003] 55 Pro forma EBITDA 55 Distribution FAD 55 amortization expense 55 CGAAP 55 Pro Forma Adjusted EBITDA 55 noninterest expense decreased 55 Adjusted OIBDA 55 #.#/BOE [002] 55 operating income1 55 Adjusted Gross Profit 55 Consolidated EBITDA Margin 55 Fully diluted earnings 55 Fully diluted EPS 55 Levered Free Cash Flow 55 CREIT 55 #.#/diluted share 55 cash flows 54 diluted weighted 54 Distributions declared 54 Invested Capital ROIC 54 DNOI 54 earnings pershare 54 pro forma 54 Items excluded 54 = Earnings [026] 54 ended September# 54 depreciation amortization accretion 54 adjusted EBITDAS 54 diluted share 54 c Calculated 54 Adjusted Homebuilding EBITDA 54 SS NOI helps 54 efficiency ratio teb 54 EBITDARM 54 Individual Annuities segment 54 Adjusted distributable cash 54 share assuming dilution 54 OCF margin 54 Pro Forma EBITDA 54 assets ROAA 54 Pro forma adjusted EBITDA 54 DAC unlock 54 NOI decreased 54 #.# perdiluted 54 non gaap 53 adjusted unlevered free 53 SEGMENTED INFORMATION 53 antidilutive 53 netbacks 53 Unlevered Free Cash Flow 53 Fully Converted 53 nonroutine income 53 calculating FFO 53 Predecessor Period 53 Fully diluted 53 #,# =Jaegle 53 Adjusted EBIDTA 53 FFO Adjusted FFO 53 Based Compensation Expense 53 per share1 53 NON GAAP 53 retrospectively adjusted 53 unaudited consolidated balance sheets 53 NAREIT definition 53 CAPITAL RESOURCES 53 fully diluted 53 Non GAAP net 53 Non GAAP Diluted EPS 53 Pro forma net 53 CCPU 53 Exchangeable Share Ratio 53 Income Loss 53 - Diluted 53 Consolidated adjusted EBITDA 53 adjusted OIBDA margin 53 adjusted EPS 53 DILUTED #,#,# #,#,# [001] 53 InnVest 53 Maintenance Capital Expenditures 53 Non GAAP EPS 53 Unitholders Equity 53 AOCI 53 EBITANCE 52 = Non GAAP [014] 52 Declared distributions 52 EBIAT 52 - Adjusted [030] 52 Diluted Share 52 Pro Forma Adjusted 52 average equity ROAE 52 OIBDA 52 CAD payout ratio 52 FFO FAD 52 comparable GAAP 52 interim unaudited consolidated 52 Continuing Operations 52 = Earnings [018] 52 ACCRETION 52 Charter REIT 52 depletion depreciation 52 Exceptional Items 52 early extinguishments 52 Segment EBITDA 52 OTTI charges 52 Tangible Common Equity 52 AOCF 52 average assets ROAA 52 -By DON HUNTER 52 normalized EPS 52 Consolidated Cash Flow 52 General Donlee 52 Adjusted Operating 52 noninterest expense totaled 52 Total Capitalization 52 EBITDA1 52 Items impacting comparability 52 = Diluted [014] 52 LIFO adjustment 52 Invested assets 52 Normalized Funds 52 capital employed ROACE 52 EBITDAO 52 Operating Cash Flow 52 reinvested distributions 52 EARNINGS GUIDANCE 52 Fund TSX SEF.UN 52 FFO + GOS 52 Och Ziff Funds 52 -Andrea Seabrook 52 covenant calculations 52 Adjusted EBITDA Adjusted 52 Earnings Per Share 52 cash flow 52 unannualized 52 CDFS joint ventures 52 Ps.#.# [006] 52 Exchangeable LP units 52 adjusted OIBDA 52 Fully Taxed EPS 52 Non GAAP Measures 52 Fourth Quarter Earnings Per 52 loss allocable 52 Adjusted Net 52 operatingincome 52 Boardwalk REIT 52 Unleveraged Cash Return 52 Adjusted Cash Flow 52 Unitholder distributions 52 OP Units 52 Pro Forma Income 52 WesternOne Equity 51 Adjusted Gross Margin 51 Recurring distributable income 51 Diluted 51 GAAP EARNINGS 51 Retained Earnings Deficit 51 Diluted #,#,# #,#,# [002] 51 Pro forma 51 Unleveraged FFO Return 51 Qtr Qtr 51 Amortization EBITDA 51 reconciles GAAP 51 items affecting comparability 51 HFRI Fund 51 Accounting Principles GAAP 51 Netbacks 51 Net Income Loss 51 excluding BIBP 51 Adjusted 51 excluding AOCI 51 - - Net [047] 51 condensed consolidated balance sheets 51 facilitates comparisons 51 NOI SS NOI 51 AFFO + GOS 51 Fully Diluted 51 Non GAAP Disclosures 51 Adjusted EBIT 51 LIQUIDITY AND 51 Timeshare segment 51 Annualized ROE 51 = Diluted [019] 51 segment adjusted OIBDA 51 -vnunet.com 51 FIRST INDUSTRIAL REALTY TRUST 51 DISTRIBUTIONS 51 NON GAAP FINANCIAL MEASURES 51 calculates FFO 51 Unitholder Distributions 51 NON RECURRING ITEMS 51 Cash Flow Provided 51 unaudited condensed consolidated 51 unaudited consolidated interim 51 Hardwoods USLP 51 Six Months Months 51 Introductory teaser rates 51 Equity Investees 51 intersegment eliminations 51 Supplemental Schedules 51 -Amos Harel Haaretz Correspondent 51 contingently convertible securities 51 Adjusted EBITDA Margin 51 COGP 51 Realised Earnings 51 accompanying unaudited consolidated 51 Olefins segment 51 Weighted average diluted 51 Projected FFO per 51 OTTI charge 51 EPS 51 QUALCOMM Strategic Initiatives 51 Basic #,#,# #,#,# [001] 51 nonoperating expenses 51 ROAA 51 condensed consolidated interim 51 unconsolidated investees 51 SCITI 51 Cash Flow 51 LIFO inventory adjustments 51 GAAP Adj 50 = Non GAAP [003] 50 OPEB expense 50 DUPONT FABROS TECHNOLOGY INC. 50 Adjusted Non GAAP 50 Normalized EBIT 50 = Diluted [023] 50 LREIT 50 adopting SFAS #R 50 unaudited condensed 50 Earnings Per Diluted 50 Keg Royalties Income 50 4Q FY# 50 Kereco 50 Adjusted EBITDA1 50 per MCFE 50 = Diluted [026] 50 FFO NOI EBITDA 50 DISTRIBUTABLE CASH 50 Interest Coverage Ratio 50 SMURFIT STONE CONTAINER CORPORATION 50 TCE TA 50 shareholders equity ROAE 50 Reported EBITDA 50 taxable equivalent 50 Taxable equivalent 50 Fund TSX VIC.UN 50 Industrial CFOA 50 LIRH 50 = Adjusted [003] 50 = Diluted earnings [005] 50 excludes depreciation amortization 50 condensed consolidated balance sheet 50 FINANCIAL HIGHLIGHTS IN THOUSANDS 50 LTM Adjusted EBITDA 50 compute FFO 50 QCR HOLDINGS INC. CONSOLIDATED 50 Wajax Income Fund 50 KMP unitholders 50 = Diluted [034] 50 Realized Earnings 50 excludes depreciation 50 EDITDA 50 - - Joanne Kempinger Demski 50 GAAP BASIS 50 normalized EBITDA 50 - - NetMarigot Bay r 50 Tangible Common 50 HREIT 50 believes EBDDT 50 Consolidated OIBDA 50 Broadcast Cash Flow 50 Cash Flows 50 ninemonths ended 50 MILLIONS EXCEPT PER SHARE 50 Income Loss Per Share 50 Adjusted FFO AFFO 50 Segment EBIT 50 endedDecember 50 = Adjusted [008] 50 Reported ments 50 OPERATING CASH FLOW 50 InnVest Real Estate 50 ANSYS INC. AND 50 RESORTS INC. Schedule 50 FREE CASH FLOW 50 Nine Months Months 50 Pro Forma EPS 50 SUBSIDIARIES FINANCIAL INFORMATION 50 Successor Period 50 Net income 50 RECONCILIATION Unaudited 50 excluding Alumbrera 50 Invested Capital 50 tables summarize 50 WORKING CAPITAL 50 meaningful supplemental 50 Noninterest Expense Noninterest expense 50 - -TheKnot.com 50 Capital Expenditures 50 NPREIT 50 EPADS 50 Income Applicable 50 Not Meaningful 50 SunOpta Food 50 Aimco 50 Cash Flow Margin 50 nine monthsended 50 noninterest expenses 50 Regular Monthly Distribution 50 Adjusted EBITDA Margins 50 #,#,# #,#,# Diluted [002] 50 = Net [018] 50 Fully diluted weighted 50 CAP REIT 50 exclude noncash 50 per mcfe 49 Crombie REIT 49 Common Stockholders 49 equivalent Mcfe 49 CDFS dispositions 49 Non GAAP Measure 49 Fund TSX XSC.UN 49 SUMMIT FINANCIAL GROUP INC. 49 Fixed Charges 49 Shareholder Equity 49 TREIT 49 -FALL CAMP 49 depreciation amortization depletion 49 Interest Expense Interest expense 49 = Diluted espokesman Dan Jiron 49 BPO Properties 49 Trimac Income Fund 49 Priority Unitholders 49 DEPS guidance 49 Diluted Earnings Per Share 49 = Adjusted [004] 49 Unconsolidated Joint Ventures 49 = Diluted [027] 49 -Name Directory DND 49 Pro Forma Earnings Per 49 Stapled Unit 49 follows > 49 Non GAAP Measurements 49 QCRH 49 Vicwest Income Fund 49 Unleveraged IRR 49 Gross Addition CPGA 49 - -Ascaron 49 endedSeptember 49 unrealized losses 49 Cents Per Unit 49 SCITI II 49 BRE Properties BRE 49 months endedSeptember 49 = Diluted earnings [008] 49 undepreciated assets 49 FLOWS FROM OPERATING ACTIVITIES 49 non recurring 49 Exterran stockholders 49 accompanying condensed consolidated 49 INDEXPLUS 49 Veresen 49 accretion expense 49 calculate FFO 49 PMPS brand 49 NOL carryforwards 49 = DilutedG. Neeleman 49 Monthly distributions 49 temporary impairments OTTI 49 Distributions Declared 49 #,# c [002] 49 unaudited Amounts 49 = Net [019] 49 INC. Summary 49 Unlevered free 49 Income Loss Per 49 REAL ESTATE BUSINESS 49 EBITDA RECONCILIATION 49 =Thomas van Schaik 49 Supplemental Schedule 49 Adjusted DEPS 49 EPRA NAV 49 REPORTED GAAP 49 - - Net [055] 49 TO FUNDS FROM 49 pro forma EPS 49 -prosumer 49 EMPLOYEE FUTURE BENEFITS 49 = Earnings [001] 49 condensed consolidated 49 = Diluted [032] 49 Weighted average shares 49 Products Declare Monthly 49 Fully Diluted Earnings Per 49 Net Assets Resulting 49 Deficit unaudited 49 #.# Per 49 Unleveraged FFO 49 Capital Employed 49 Capstead 49 Chesswood Income Fund 49 MANAGEMENT DISCUSSION AND ANALYSIS 49 Capitalization Rate 49 SUMMARY OF QUARTERLY RESULTS 49 Adjusted pro forma 49 CAPREIT 49 unaudited consolidated financial 49 taxable equivalent FTE 49 = Diluted earnings [012] 49 Crocotta 49 AND ADJUSTED 49 Extendicare Limited 49 = Net [034] 49 prioryear 49 Noninterest expense decreased 49 ADJUSTED EBITDA 49 IAROC 49 Distributions Distributions 49 - - Non GAAP [008] 49 Gamehost Income Fund 49 LBITDA 49 MMLP 49 = Earnings [006] 49 -Kahaani Ghar Ghar Ki 49 stressed DSCR 49 = Loss [008] 49 Supplemental Non GAAP 49 ASHFORD HOSPITALITY TRUST INC. 49 - Adjusted [028] 49 TSX Symbol TMA.UN 49 Non Controlling Interests 49 unrealized gains 49 UNITHOLDERS EQUITY 49 Fully Diluted EPS 49 Fully taxable 49 Non GAAP Financial 49 expenses totaled Ps 49 Adjusted EBTIDA 49 = Basic [019] 49 Constant Currency 49 Before Depreciation Amortization 49 pershare 49 Lipper peer 49 Qtr Qtr Year 49 -Laemmle Music 49 Intangible Amortization 49 CurrencyShares SM Exchange Traded 49 DAC unlocking 49 similarly titled measures 49 EOG RESOURCES INC. 49 undepreciated book capital 49 % unannualized 49 Cash Dividends 49 - -Urnes 49 condensed consolidated statements 49 Non GAAP Earnings Per 49 Canadian Generally Accepted 49 = Diluted earnings [002] 49 = Net [006] 49 EnerCare 49 = Diluted earnings [009] 49 OUTSTANDING DILUTED 49 Interest Differential FIRSTMERIT 49 = quarterback Spergon Wynn 49 Items Affecting Comparability 49 CaRIT 49 - - NetGranara 48 = Net [007] 48 Tactical Strategies 48 USD#.#m USD#.# [002] 48 Qualcomm Strategic Initiatives 48 = Diluted [036] 48 HK#.# cents [001] 48 income teb 48 Deferred Taxes EBDT 48 noninterest income 48 Normalised earnings 48 = Net [030] 48 Kind Tender Offer 48 CASH FLOWS PROVIDED BY 48 Second Quarter Highlights 48 Funds Declare Monthly Distributions 48 Adjusted EBT 48 retroactively restated 48 substantively enacted 48 Imputed Revenue 48 Fund NAV 48 Core noninterest expense 48 Per Share Diluted 48 Freehold Royalty Trust 48 Lakeview REIT 48 Diluted weighted average 48 Stendal mill 48 Segmented Results 48 USD#.#m USD#.# per [002] 48 reclassed 48 NCI BUILDING SYSTEMS INC. 48 Adjusted OIBDA Margin 48 Trizec Canada 48 #.#/ADR 48 Primedex 48 Statutory surplus 48 PFICs 48 VERISIGN INC. AND SUBSIDIARIES 48 undepreciated book 48 -ecoterrorism 48 invoiced shipment 48 BASIC AND DILUTED WEIGHTED 48 - Adjusted [010] 48 #.#/BOE [001] 48 = Diluted [004] 48 FAD payout ratio 48 =steepling bounce 48 Net Loss Per 48 similarly captioned 48 AMPAC ISP Holdings 48 - - Diluted [005] 48 FDIC indemnification 48 Segmented Information 48 proforma 48 unrealized depreciation 48 quarter# 48 per Mcfe 48 Baytex 48 TO ADJUSTED NET INCOME 48 excluding nonrecurring 48 Operations Unaudited Amounts 48 Certain comparative 48 MEP Joint Venture 48 SEK -#.# -#.# [001] 48 SY Bancorp 48 - Earnings [001] 48 Unizan merger 48 Diversified Equity 48 REVPAR 48 Condensed Consolidated Income 48 INDEXPLUS Income Fund 48 OTTI 48 loss NOL carryforward 48 NET LOSS TO 48 Increases Quarterly Distribution 48 EITF #-# [001] 48 OPERATING EARNINGS 48 annualized ROA 48 -FORT IRWIN Calif. 48 quarterended 48 Diluted Earnings Loss Per 48 ALLL 48 -Dehring Bunting 48 invoiced shipments 48 TSX HCI.UN 48 Tangible equity 48 Anworth 48 = Juhng 48 EBITDAR margin 48 proportionately consolidated 48 - Adjusted [022] 48 CHINA TRANSINFO TECHNOLOGY CORP. 48 Audited Consolidated 48 interim condensed consolidated 48 normalized FFO guidance 48 YIELDPLUS Income Fund 48 Previously Securitized Loans 48 Managements Discussion 48 Supplemental Information 48 = Diluted [022] 48 unconsolidated partnerships 48 EARNINGS PER SHARE 48 Condensed Consolidated Statement 48 assuming dilution 48 = Diluted earniSivasubramaniam 48 Earnings Loss Per 48 TEB adjustment 48 Net Interest Margin 48 Unaudited Unaudited Audited 48 - Loss [032] 48 = Income [003] 48 Cash Flows UNAUDITED 48 Non GAAP Proforma 48 = Diluted [006] 48 NOL utilization 48 Operating Expenses Operating 48 = Adjusted [014] 48 = Diluted [015] 48 expenses LOE 48 undistributed net 48 BUSINESS OUTLOOK 48 = Diluted [008] 48 = Net [027] 48 - Cash flows [011] 48 SELECTED RATIOS 48 acquired Brooks Eckerd 48 Income Per Share 48 - -Theatre Workshop 48 AvalonBay Value Added 48 - - Diluted [008] 48 THREE MONTHS ENDED MARCH 48 Hardwoods LP 48 Fund TSX KEG.UN 48 #.# = Diluted [001] 48 Nonperforming loans totaled 48 Monthly Dividends 48 depreciable asset 48 SIX MONTHS ENDED JUNE 48 Month Period Ended 48 = [027] 48 - Non GAAP [009] 48 USE OF NON GAAP 48 Expense Ratio 48 GAAP TO ADJUSTED 48 RevPAR 48 Operating Activities 48 Whiterock REIT Announces 48 audited consolidated financial 48 NOPAT 48 Monthly Distribution Declared 48 LUXOTTICA GROUP CONSOLIDATED FINANCIAL 48 - NeDEFENDERS 48 OPERATING EARNINGS LOSS 48 AND ADJUSTED DILUTED EARNINGS 48 Adjusted OIBA 48 - - Net [034] 48 Fund TSX CFX.UN 48 LTM adjusted EBITDA 48 Nonperforming assets decreased 48 ACTIVEnergy Income Fund 48 Trust TSX SSJ.UN 48 Sub metering 48 AND FUNDS FROM 48 MMLP Quarterly Report 48 SmartGrowth Deposits 48 margin FTE 48 = EarningSTEF 48 Excluding Unusual Items 48 Lifeco Split Corporation 48 = Net [036] 48 FINANCIAL INFORMATION UNAUDITED 48 GROUP PJC INC. 48 depreciation amortization 48 Mcfe 48 #.# =Atatahak 48 = Income [004] 48 accruing restructured 48 Common Share Dividend 48 Three Month Periods 47 CanWel 47 = Earnings [007] 47 Combined Ratio 47 Eaton Vance Short Duration 47 YIELDPLUS 47 = Earnings [017] 47 - - [046] 47 VIACOM INC. AND SUBSIDIARIES 47 = Diluted [002] 47 Nine Month Periods 47 distributable 47 Unallocated Corporate 47 HealthStream Learning 47 Tikcro Technologies Reports 47 Assuming Dilution 47 Months Months Ended 47 Discontinued operations .# 47 nondeductible portion 47 Filtran Microcircuits Inc. 47 EBTIDA 47 -DD2 47 #.#per diluted 47 unaudited interim 47 Basic #,#,# #,#,# [003] 47 Special Cash Dividend 47 allocable 47 Interest expense decreased 47 carryforwards 47 #,#,# #,#,# = [008] 47 Leverage Ratio 47 Excluding goodwill impairment 47 TSX GDI.UN 47 Funded Debt 47 loans receivable 47 Continuing Ops 47 Neuberger Berman Closed End 47 Quarters Ended Twelve Months 47 - - [042] 47 Trust TSX MMP.UN 47 Six Month Periods 47 CHINA WIND SYSTEMS INC. 47 MMLP Annual Report 47 NPVs 47 OIBA 47 comparability 47 FAS CAS Pension 47 Distribution Payable 47 = Net [031] 47 Trust KST Declares 47 - -Belusko 47 Reconciliation Tables 47 Gamehost 47 Recurring EBITDA 47 Earnings Loss 47 SFAS #R 47 EBITDA Standardized Distributable 47 = Diluted earnings [011] 47 OLTV ratio 47 '#s except 47 PER UNIT 47 noncash impairments 47 -Bond Index Etf 47 DUNDEE REIT TSX D.UN 47 - Adjusted [012] 47 = Diluted [017] 47 LIFO inventory valuation 47 EUR -#.# -#.# [001] 47 NYSE ELS 47 unleveraged yield 47 adjusted2 47 Carfinco Income Fund 47 - - Nesignandsight newsletter 47 b Calculated 47 Profit Loss 47 Consolidated Cash Flows 47 = DKey4Women 47 -SIFs 47 diluted 47 Quarterly Activities 47 QUALCOMM pro forma 47 - -Majority Whip Roy Blunt 47 AVAILABLE SEAT KM 47 = Net [003] 47 -unbeaten BCS busters 47 = Diluted [020] 47 www.brookfieldinfrastructure.com 47 Consumers Waterheater Income 47 Net Loss 47 PER SHARE AMOUNTS 47 Diluted Income Loss 47 #,# NOVA MEASURING 47 = Diluted earningsAll Dogfighters 47 = Net [014] 47 SELECTED FINANCIAL AND 47 principal paydowns 47 Non GAAP Adjusted 47 CRIC shareholders 47 Adjusted Ebitda 47 AVERAGE BALANCE SHEET 47 PARK OHIO HOLDINGS 47 = Non GAAP [005] 47 = Net [039] 47 NYSE AKR Acadia 47 = Net [002] 47 Reported Earnings Per 47 Additions Accrual Basis 47 - -Dorothy Rothrock 47 USGAAP 47 Partnered Brands segment 47 = EMusei 47 Income Funds Declare 47 Avenir Trust 47 BERKSHIRE HILLS BANCORP INC. 47 #.#/unit [001] 47 Condensed Statement 47 EPE unitholders 47 INSTRUMENTS LTD 47 RECONCILIATION OF ADJUSTED EBITDA 47 DATA UNAUDITED 47 OPERATING HIGHLIGHTS 47 amortization EBITDA adjusted EBITDA 47 Herbalife Ltd. Announces 47 = DiluSteel Tariffs 47 adjusted1 net 47 AND COMPREHENSIVE INCOME LOSS 47 CONSOLIDATED FINANCIAL STATEMENTS 47 IBI Income 47 Book Value 47 Spectra Energy Partners 47 AOCL 47 - - Diluted [007] 47 Comparable bakery cafe 47 Trust KMM Declares 47 -maidenly 47 Quarterly Distributions 47 Average Equity ROAE 47 Fiscal Quarter Earnings 47 assets ROA 47 BOEs 47 monthsended 47 - Adjusted EBITDA [003] 47 Innergex Power Income 47 financialstatements 47 -#.# % [001] 47 discontinued operations 47 nonoperating expense 47 non GAAP Measures 47 STARWOOD HOTELS & 47 Depreciation Amortization Taxes 47 Wajax Corporation 47 Adjusted Segment 47 =America Airline Satisfaction 47 intersegment revenues 47 Dropdown Predecessor 47 = Earnings [019] 47 BMO Exchange Traded 47 Diluted Earnings Loss 47 SUPPLEMENTAL DATA 47 - CASH FLOWS [012] 47 ended December# 47 NON GAAP NET INCOME 47 Adjust ments 47 Pac Lf 47 Claymore Closed End 47 Hesperion acquisition 47 Discontinued operation 47 -Lighting Designers 47 = Adjusted [010] 47 Armtec division 47 DILUTED 47 - - Net [051] 47 -Elie Nadelman 47 JMP Group 47 capital expenditures 47 Derivative Liabilities 47 = Diluted [030] 47 = Diluted [013] 47 #.#/boe [001] 47 DiaMed acquisition 47 PER DILUTED SHARE 47 ROAE 47 Synthetic Fuel segment 47 ROCE 47 accretable 47 = NetSao Pedro 47 Successor Predecessor 47 = Net [040] 47 = Earnings [013] 47 NON CASH EXPENSES 47 addback 47 AUDIOCODES LTD 47 ADJUSTED FOR 47 Taxable equivalent net 47 EastGroup 47 excluding goodwill impairment 47 PER SHARE 47 AND THREE MONTHS 47 rebased amounts 47 SFSB Inc. 47 RECONCILIATION OF NET INCOME 47 = Diluted [007] 47 SELECTED FINANCIAL INFORMATION 47 Unfavourable Changes 47 - -Patrick Leahy Vt. 47 ninemonths 47 Fund TSX CWI.UN 47 - Net [011] 47 Nonperforming assets totaled 47 FINANCIAL STATEMENTS FOR 47 RMR Real Estate 47 Futuremed Healthcare Income 47 Earnings 47 NYSE Amex EIM 47 TDb Split Corp. 47 THE JEAN COUTU 47 Oxy ER 47 Comprehensive Income Loss 47 ROIC metric

Back to home page