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Chicago Atlantic Real Estate Finance, Inc.REFI

Key ratios

Operating cash flow growth
11.6%TTM
2025 24.3%2024 -18.5%2023 67.1%
EPS growth
-26.0%TTM
2025 -10.6%2024 -10.9%2023 15.9%
FCF / Sales
52.7%2025
2024 41.7%2023 50.6%
Net margin
60.2%TTM
2025 65.9%2024 66.7%2023 68.9%
ROA
8.4%2025
2024 9.3%2023 11.0%
ROE
11.7%2025
2024 12.8%2023 14.5%
Revenue growth
-1.6%2025
2024 -1.2%2023 25.0%

Recent news

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