American Tower Corporation

NYSE:AMT

197.87 (USD) • At close November 7, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 1,483.31,696.72,567.61,691.51,916.61,264.71,225.4970.359672.007803.199482.208594.025381.84373.606247.127347.24656.31627.484-171.59-247.587-303.417-1,141.879-450.094-194.628-50.727-46.842-2.27
Afschrijvingen & Amortisatie 3,086.53,355.12,332.61,871.41,795.82,110.81,715.91,525.6351,285.3281,003.802800.145644.276555.517460.726414.619405.332530.717537.77458.832402.306389.06335.042459.616299.017136.64753.6936.514
Uitgestelde Inkomstenbelasting -182-236.7-41.2-22.5-55.1-303-86.626.9577.7641.384-29.48529.356.852188.327-3.1492.51321.23917.535-12.752-92.443-66.137-67.781-120.411-60.876-2.054-4.4910.147
Aandelen Gebaseerde Vergoedingen 195.7169.3119.5120.8111.4137.5108.589.89890.53780.15368.13851.98347.43752.55560.6754.80754.60315.932.36400000000
Verandering in Werkkapitaal -813.9-1,609.9134.8-423.6-250.4-14-352.2-103.809-135.288157.266-18.496-6.41-62.5-89.551-63.395-19.57336.052-31.796-10.02-34.548-35.2724.035-17.942-106.4858.0782.3764.526
Vorderingen -34.5-78.6-191.7-175.512.5-32.1-191.111.352-56.312-84.529-19.08-43.679-28.857-18.974-17.844-13.552.478.4928.49200000000
Voorraden 46.4015.1143.1-32.6-107.3-124.8-13.659-92.063283.41484.998172.401-168.884-70.52725.349-149.68461.825-39.031245.4290011.3470.788-18.643-6.2100
Crediteuren -11.9-48.233.2-69.2-46.869.395.8-42.86295.85834.71183.74621.8884.6991.603-9.609-27.374-7.237-35.12-36.60300000000
Overig Werkkapitaal -813.9-1,483.1278.2-322-183.556.1-132.1-58.64-82.771-76.33-168.16-157.01250.542-1.653-61.291171.035-21.00633.863-227.338-34.548-35.2712.688-18.73-87.84214.2882.3764.526
Overige Niet-Contante Posten 952.8321.7-293.4643.8234.3552.3314.6194.564262.70488.785296.537101.217186.79635.314186.245-107.067-6.24853.815130.37188.97250.385955.732154.90137.9315.06713.6930.995
Kasstroom uit Operationele Activiteiten 4,722.43,696.24,819.93,881.43,752.63,748.32,925.62,703.6042,183.0522,134.5891,599.0471,414.3911,165.9421,020.977842.126773.258692.679620.738397.204216.7156.386105.14926.07-25.04197.01118.4299.913
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,798.1-1,873.6-1,376.7-1,031.7-991.3-913.2-803.6-682.505-728.753-974.404-724.532-568.048-523.015-346.664-250.262-243.484-154.381-127.098-88.637-42.181-61.608-180.497-568.158-548.991-294.242-126.455-20.614
Netto Overnames -163.9-549-19,303.9-3,799.1-2,959.6-1,881.4-2,007-1,416.373-1,961.056-1,010.637-4,461.764-1,997.955-2,320.673-899.606-295.603-42.817-43.96221.05-14.749-37.35-95.077-56.361-812.782-1,368.024-588.384-208.717-184.076
Aankoop van Beleggingen -17.30-250-355.9-1,154.30-0.75-1,022.816-1,395.316-427.267-352.306-42.59-52.197-6.30400-6.881031.9870109.353-55.3560000
Verkoop/verval van Beleggingen 17.319.614.319.6383.51,252.214.713.0561,032.321,434.831421.714374.68269.97121.7229.1035.37322.1636.88102.78407.6681.680000
Overige Investeringsactiviteiten 270.647.8-0.926.6-64.2-52.8-5-20.874-5,061.43-4.02218.512-14.75825.495-24.157-6.3045.988-10-23.06422.852-0.456100.6754.58-10.687-93.665-255.074-15.205-12.093
Kasstroom uit Investeringsactiviteiten -1,691.4-2,355.2-20,692.2-4,784.6-3,987.5-2,749.5-2,800.9-2,107.446-7,741.735-1,949.548-5,173.337-2,558.385-2,790.812-1,300.902-543.066-274.94-186.18-129.112-80.534-45.216-56.01-115.257-1,445.303-2,010.68-1,137.7-350.377-216.783
Financieringsactiviteiten:
Schuldaflossingen -1,283.3-9,625.5-13,713.4-13,943.6-9,246.3-4,888.1-6,559.7-5,093.833-6,479.077-3,914.737-5,366.573-2,658.566-395.384-983.737-931.199-327.453-3,612.24-1,949.444-1,949.44400000000
Uitgifte van Gewone Aandelen 1,322.12,291.72,458.618,193.612,032.25,447.18,153.192.4732,440.327583.1057,685.1674,208.1461,930.85000124.08740.9465.35740.556126.8471.305366.671535.435634.7271,007.0590
Terugkoop van Gewone Aandelen 0-18.80-56-19.6-232.8-766.309,571.17-59.111-145.012-62.728-437.402-430.618-213.288-714.655-1,642.821-306.856-68.927000000-303.1170
Uitgekeerde Dividenden -2,949.3-2,630.4-2,271-1,928.2-1,603-1,342.4-1,164.4-993.241-795.499-420.644-434.687-355.574-137.7650000000000-0.667-0.39600
Overige Financieringsactiviteiten -1918,559.84,982.1-1,050.5-641.6408.5224.35,987.78852.183,676.7961,786.6739.088125.7962,324.685949.545653.9368,801.7563,787.9813,076.488-101.948-249.05100.1371,006.4821,557.779245.395-190.415209.092
Kasstroom uit Financieringsactiviteiten -3,101.5-1,423.216,424.51,215.3521.7-607.7-113-99.2945,589.101-134.5913,525.5651,170.3661,086.095910.33-194.942-388.172-754.64-323.063-419.526-61.392-122.203101.4421,373.1532,092.547879.726513.527209.092
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 23.2-120.4-70.3-28.7-13.7-41.16.7-30.389-23.224-30.534-26.31712.055-14.9976.2650.098-0.19200000000000
Netto Kasstroomverandering -47.3-202.6481.9283.4273.135018.4466.4757.19419.916-75.04238.427-553.772636.67104.216109.954-248.141168.563-102.856110.092-21.82791.334-46.0856.826-160.963181.5792.222
Kaspositie aan het Einde van de Periode 2,093.42,140.72,343.31,861.41,5781,304.9954.9787.161320.686313.492293.576368.618330.191883.963247.293143.07733.123281.264112.701215.557105.465127.29235.95882.03825.212186.1754.596