Arbor Realty Trust, Inc.

NYSE:ABR

15.03 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 928.974534.357404.58339.528299.687160.063104.374138.645188.70950.41860.3929.18955.236101.12564.6240.83222.227.75719.4276.4026.116
Kortetermijnbeleggingen 6.54714.2551.6653.8921.4356.1130.6845.4032.0222.537.3163.5534,276.3683,298.418488.184529.10415,696.74322,100.17629,615.4246,582.5920
Liquide middelen en kortetermijnbeleggingen 928.97414.789404.58339.528299.687160.063104.374144.049190.73152.91797.70532.74255.236101.12564.6240.83222.227.75719.4276.4026.116
Nettovorderingen 64.42177.41984.31812.44910.6511.2870.6881.4658.0820.0370.0980.0240.6560.33515.24000000
Voorraad 1,537.207-1.505-1.665-3.892-1.435-6.113-0.684-5.615-0.003-0.002-6.402-10.928000000000
Overige vlottende activa -1,601.628-1,325.584-975.588-549.447-521.213-1.287-0.688-1.4650.58714.34511.38-0.02465.70400000000
Totaal vlottende activa 928.97414.789488.898351.977310.338160.063104.374144.049199.467.299109.18332.742121.597104,422.98265,112.4591,361.14537,916.28429,857.03349,042.72952,984.2936.116
Niet-vlottende activa:
Materiële vaste activa, netto -15,738.636-17,038.985-14,320.191-7,005.763-5,711.541-4,612.175-3,625.945-2,970.7860000128.3980046.47900000
Goodwill 56.62696.069100.76105.451110.7116.165121.76697.490000000000000
Immateriële activa 426.006401.471422.734379.974286.42273.77252.608227.7430000000000000
Goodwill en immateriële activa 482.632497.54523.494485.425397.12389.935374.374325.2330000000000000
Langetermijnbeleggingen 234.582235.677230.16169.798130.49997.94351.4939.35232.8927.36941.996106.12194.66969.137125.96288.084265.67571.91429.61551.8375.918
Belastingvorderingen 15,738.63617,038.98515,073.8457,660.9866,239.164,612.1753,625.9452,970.7860000000000000
Overige niet-vlottende activa -625.836-733.121-753.654-655.223-527.6193,964.2343,095.7072,462.1521,595.11,805.7551,726.2941,563.0191,432.051-69.137-125.962-134.563-265.675-71.914-29.615-51.837-5.918
Totaal niet-vlottende activa 91.3780.096753.654655.223527.6194,452.1123,521.5712,826.7371,627.9921,813.1231,768.291,669.141,655.11769.137125.962134.563265.67571.91429.61551.8375.918
Totaal activa 15,738.63617,038.98515,073.8457,660.9866,239.164,612.1753,625.9452,970.7861,827.3921,880.4231,877.4721,701.8811,776.7141,731.2082,060.7752,579.2362,901.4942,204.3451,396.075912.295338.164
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000000000-1.750-77,123.13317.4371.998000000
Kortlopende schulden 577.3343,841.8144,481.5792,234.8831,678.2881,135.627528.573906.637136.252180.3861.750161.563-77,123.133416.6590000050.175
Belastingschulden 000000000000000000000
Uitgestelde opbrengsten 000000000077,123.13377,123.13377,123.13377,123.13377,123.13377,123.13377,123.1330000
Overige kortlopende verplichtingen -577.334-3,841.814-4,481.579-2,234.883-1,678.288-812.221-229.518-622.129-81.769-128.401-76,982.333-76,891.3335.637166.063-77,356.99-76,878.033-76,885.133103.394.274.60
Totaal kortlopende verplichtingen 577.3343,841.8144,481.5792,234.8831,678.288323.406299.055284.50854.48351.986140.8231.8167.2183.5184.8245.1238103.394.274.650.175
Langlopende verplichtingen:
Langetermijnschulden 8,817.6999,658.7487,575.1223,589.7812,943.652,179.2422,002.6631,111.4811,036.9371,079.6231,119.6651,163.9291,276.818271.4541,360.0031,992.4192,023.2241,425.133600.667174.35958.631
Uitgestelde opbrengsten niet-vlottend 12,484.03113,967.10612,523.8616,178.3014,883.1333,546.6092,761.3892,223.7480077.12377.12377.12377.12377.123000000
Uitgestelde belastingverplichtingen niet-vlottend -12,484.031-13,967.106-4,948.739-2,588.52-1,939.483-3,546.609-2,761.389-2,223.748002.7943.085-53.751-20.750000000
Overige niet-vlottende verplichtingen -8,534.581-9,658.468-7,575.122-3,589.781-2,943.651,214.289628.402987.656170.882199.4399.517-3.336138.211,015.473342.17460.681244.976379.767413.633400.5410
Totaal niet-vlottende verplichtingen 283.1180.287,575.1223,589.7812,943.653,393.5312,631.0652,099.1371,207.8191,279.0531,299.11,240.81,438.41,343.31,779.32,053.12,268.21,804.91,014.3574.958.631
Totaal passiva 12,484.03113,967.10612,523.8616,178.3014,883.1333,546.6092,761.3892,223.7481,262.3011,344.9671,439.8761,470.621,603.6541,524.7931,962.1412,298.2422,433.3761,842.7661,044.775589.292183.417
Eigen vermogen:
Preferente aandelen 633.684633.684556.16389.47289.50189.50289.50889.50889.29689.29667.655000000.0380.0380.0380.0380.031
Gewone aandelen 1.8851.7821.5141.2321.0970.840.6170.5140.510.5310.5180.3390.2680.2580.2570.2540.2080.1740.1710.1650.082
Ingehouden winsten 115.21697.04962.532-63.442-60.92-74.133-101.926-125.134-136.118-152.483-212.231-207.558-221.016-180.69-293.585-62.9465.66627.73221.4538.813-0.692
Overige gereserveerde algehele resultaten -633.684-00-0-0-00.1760.321-4.841-14.668-25.237-39.562-47.704-55.169-53.331-96.607-29.0012.153-0.439-0.69-0.521
Overige totale aandeelhoudersvermogen 3,000.8722,204.4811,797.9131,317.1091,154.932879.029707.45621.932616.244612.78606.892476.11439.579440.017443.353440.298358.353266.014266.386254.428112.216
Totaal eigen vermogen van aandeelhouders 3,117.9732,936.9962,418.1221,344.3711,184.61895.238695.825587.141565.091535.455437.596229.329171.126204.41596.694281.006395.263296.111287.609262.753111.116
Totaal eigen vermogen 3,254.6053,071.8792,549.9841,482.6851,356.0271,065.566864.556747.038565.091535.455437.596231.261173.061206.41598.634280.995468.117361.579351.3323.003154.748
Totaal passiva en aandeelhoudersvermogen 15,738.63617,038.98515,073.8457,660.9866,239.164,612.1753,625.9452,970.7861,827.3921,880.4231,877.4721,701.8811,776.7141,731.2082,060.7752,579.2362,901.4942,204.3451,396.075912.295338.164