Alexandria Real Estate Equities, Inc.

NYSE:ARE

114.04 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 280.994670.701654.282827.171404.047402.793194.204-49.799146.114106.778140.249105.528135.393139.022141.648122.86993.72473.41663.43360.19559.64340.03230.27726.00922.119.4-2.82.2
Afschrijvingen & Amortisatie 1,000.142927.8821.061698.104544.612477.661416.783313.39261.289224.096190.778192.005158.026126.64118.508108.74395.27277.6860.99344.73640.74436.0931.5124.94118.910.34.92.4
Uitgestelde Inkomstenbelasting 381.7510-258.024-468.904-142.557-181.585-11.864192.143-8.70741.628-8.281-0.1347.175-5.903-6.722-13.451-31.18200000000000
Aandelen Gebaseerde Vergoedingen 82.85857.7448.66943.50243.6435.01925.6125.43317.51213.99615.55214.1611.75510.81614.05113.67711.17600000000000
Verandering in Werkkapitaal 2.029-122.705-95.266-70.382-37.165-55.593-56.347-42.642-30.627-15.628-4.78515.287-39.586-28.397-47.1569.3451.217-25.705-7.188-38.022-19.988-17.42-4.288-19.85-0.3-3.6-2.4-6.2
Vorderingen -0.102-0.273-0.0442.804-0.8970.435-0.502-0.2850.007-0.673-1.519-0.9810000000000000000
Voorraden 0.7980-24.591-10.997-20.825-20.849-18.222-11.42-9.079-7.466-6.298-4.0690000000000000000
Crediteuren 110.67277.8560.929-1.12239.01221.90925.5735.32243.826.65256.95865.69741.82310.861-19.24146.75249.6600000000000
Overig Werkkapitaal -109.339-200.282-131.56-61.067-54.455-57.088-63.196-36.259-65.355-34.141-53.926-45.36-81.409-39.258-27.915-37.407-48.443-25.705-7.188-38.022-19.988-17.42-4.288-19.85-0.3-3.6-2.40
Overige Niet-Contante Posten -117.224-239.215-160.525-146.981-128.72-107.956-118.061-46.024-42.97-36.545-20.786-21.313-25.803-22.832-14.379-8.47415.1752.9993.440.843-5.5528.3482.8411.8311.604.20
Kasstroom uit Operationele Activiteiten 1,630.551,294.3211,010.197882.51683.857570.339450.325392.501342.611334.325312.727305.533246.96219.346205.95232.709185.382128.39120.67867.75274.84767.0560.3432.93142.326.13.9-1.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,488.3030-7,333.925-3,268.8440-1,944.158-1,553.837-1,436.509-683.34-544.08-561.49-555.022-735.068-717.103-446.127-548.762-950.018-978.278-434.224-450.959-175.32-213.469-57.39-118.936-109.8-240.8-87.6-94.9
Netto Overnames -0.658-0.971372.23816.781-102.067-83.338-39.591-11.529-9.027-70.758-17.987-6.720.078018.0210934.95500000000000
Aankoop van Beleggingen -189.472-242.932-408.564-174.655-190.778-235.943-171.881-102.284-95.945-60.23-36.078-36.294-27.999-18.396-12.895-13.006-16.618-12.9060000000000
Verkoop/verval van Beleggingen 183.396198.32424.623141.149129.225103.67930.48338.94667.13618.97316.52527.04316.8494.7145.63313.31119.65120.5940000000000
Overige Investeringsactiviteiten -5.582-5,034.875-161.6967.408-3,477.7-2-3.314.748-1.21921.2667.65512.873-7.439294.13125.44580.909-934.95501.3240.27135.51-14.371-134.789-13.5440-600
Kasstroom uit Investeringsactiviteiten -2,500.619-5,080.458-7,107.324-3,278.161-3,641.32-2,161.76-1,738.126-1,496.628-722.395-634.829-591.375-558.1-733.579-436.654-409.923-467.548-946.985-970.59-432.9-450.688-139.81-227.84-192.179-132.48-109.8-246.8-87.6-94.9
Financieringsactiviteiten:
Schuldaflossingen -1,156.132-16,291.738-1,085.742-696.682-1,290.97-718.217-602.427-4,750.903-200.811-1,424.051-1,377.219-1,012.315-2,572.288-809.247-1,221.079-919.477-1,148.171-1,724.916-476.015-10.376-6.125-13.427-12.042-32.974-5.3-1.3-83.2-5
Uitgifte van Gewone Aandelen 103.8462,346.4443,529.0972,315.8621,216.4451,293.3011,275.3971,432.17778.4631,993.123534.46997.89451.539342.342488.163242.186215.19200000000000
Terugkoop van Gewone Aandelen -24.592-47.289-34.338-21.322-25.477-13.976-148.284-206.8260-14.414-0.384-4.772,758.117813.3491,053.9271,101.5161,787.93900000000000
Uitgekeerde Dividenden -847.483-757.742-655.968-532.98-451.17-385.839-321.75-262.761-243.09-228.271-194.961-154.317-136.509-100.457-118.852-126.079-102.634-87.579-73.07-58.43-49.325-41.4-32.763-28.388-23.6-19.2-9.9-1.6
Overige Financieringsactiviteiten 261.66118,980.0975,520.9252,607.9762,113.1591,256.0551,139.6644,893.834461.4054.9251,235.6651,388.372-21.703-8.0751.281-0.17614.3592,653.732862.06449.915121.608217.031176.244160.24198.3240.6177.2103.9
Kasstroom uit Financieringsactiviteiten 674.1564,229.7725,916.3612,750.3562,927.4821,588.4331,420.3411,105.521419.126331.312197.57314.86479.156237.912203.44297.97766.685841.237312.975381.10966.158162.204131.43998.87969.4220.184.197.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1.291-0.887-1.7120.3110.54-2.0681.723-1.46-0.255-2.493-2.1970.139-5.2300000000000-0.10.100
Netto Kasstroomverandering -197.204442.748-182.478355.016-29.441-5.056129.349-0.06639.08728.315-83.27562.432-12.69320.604-0.53363.1315.082-0.9630.753-1.8271.1951.414-0.4-0.671.8-0.50.40.8
Kaspositie aan het Einde van de Periode 660.771857.975415.227597.705242.689272.13254.381125.032125.09886.01157.696140.97178.53991.23270.62871.1618.032.9483.9113.1584.9853.792.3762.7763.41.62.11.7