AvalonBay Communities, Inc.

NYSE:AVB

230.21 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 530.96613.189420.251216.97639.68791.65967.088214.994400.507509.46281.5412,733.618616.89306.426316.367259.30521.222145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Kortetermijnbeleggingen 5.2483.2043.2044.30800000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 530.96613.189420.251216.97639.68791.65967.088214.994400.507509.46281.5412,733.618616.89306.426316.367259.30521.222145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Nettovorderingen 0-122.12218.59418.159-500.6290000000000000000000000000
Voorraad 032.532-54.19-80.348457.8090000000000000000000000000
Overige vlottende activa -530.96247.461211.484207.715164.971292.736420.882403.988333.993326.451322.258218.62373.439173.343210.676193.599189.1710000000000000
Totaal vlottende activa 530.96771.06596.139362.502161.838249.68234.592362.048535.405634.702406.6942,808.399690.329479.769316.367259.305210.393145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Niet-vlottende activa:
Materiële vaste activa, netto 134.674143.331146.599155.266124.96117,591.0117,649.19316,927.85515,440.44314,576.29313,725.4547,360.4547,425.036,955.6456,833.4876,649.7436,297.1825,478.0574,945.7884,877.8254,736.3894,785.4314,390.8434,199.9594,041.3233,890.8591,294.484697.793463.7375.8
Goodwill 000000000000000000000000000000
Immateriële activa 000000000000000000000000000000
Goodwill en immateriële activa -20,678.214-20,457.764-19,902.016-19,199.144-19,121.051-35,971.21-36,064.014-34,795.1260000000000000000000000
Langetermijnbeleggingen 316.691212.084216.39202.612165.806217.432163.475175.116216.919298.315353.866129.352144.561121.53774.5755.02557.9942.72441.94241.37919.73514.59115.06612.21510.70217.2110000
Belastingvorderingen 20,678.21420,457.76419,902.01619,199.14419,121.05118,380.218,414.82117,867.2710000000000000000000000
Overige niet-vlottende activa 19,695.88919,331.28918,942.88818,478.76418,668.44617,913.08818,016.75417,330.107738.538667.413842.129861.873222.47264.537233.181209.301170.919-5,520.781-4,987.73-4,919.204-4,756.124-4,800.022-4,405.909-4,212.174-4,052.025-3,908.07-1,294.484-697.793-463.7-375.8
Totaal niet-vlottende activa 20,147.25419,686.70419,305.87718,836.64218,959.21318,130.5218,180.22917,505.22316,395.915,542.02114,921.4498,351.6797,792.0617,341.7197,141.2386,914.0696,526.0915,520.7814,987.734,919.2044,756.1244,800.0224,405.9094,212.1744,052.0253,908.071,294.484697.79300
Totaal activa 20,678.21420,457.76419,902.01619,199.14419,121.05118,380.218,414.82117,867.27116,931.30516,176.72315,328.14311,160.0788,482.397,821.4887,457.6057,173.3746,736.4845,807.9165,165.065,068.2814,909.5824,950.8354,664.2894,397.2254,154.6624,030.2041,317.65711.909477.2390
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 87.70372.80263.72293.60992.13596.98385.377100.99898.802101.94694.47253.67736.77534.43349.62364.25791.5859.23262.85223.00526.91229.76843.65619.99718.90848.9487.7275.4500
Kortlopende schulden 340.259358.3108.26337.148131.8566,921.7177,245.5496,321.38900002,003.08602,316.8433,550.45700000000178.63290000
Belastingschulden 000000000000000000000000000000
Uitgestelde opbrengsten -622.184-358.3-44.23756.772-39.346-6,921.717-7,245.549-6,321.38900001,599.20500000000000000000
Overige kortlopende verplichtingen 1,510.96513.506-127.444-187.218-184.27451.706462.022-201.188-197.051-202.985-188.07-106.648-1,672.755321.082-2,029.325-3,146.027252.839327.536130.296194.99206.176225.464179.688185.006-26.416-219.89622.54615.100
Totaal kortlopende verplichtingen 694.554659.1164.02693.9292.51645.672632.7760.8080.5530.9070.8740.7062,003.086389.948386.764532.944435.999446256241260285267225190207382600
Langlopende verplichtingen:
Langetermijnschulden 7,825.4618,316.0458,103.5477,564.3377,296.297,040.2637,329.477,030.886,456.9486,525.8526,145.3913,851.0331,629.214,101.6871,658.0293,674.4573,208.202672.5082,366.5642,442.2912,337.8172,471.1632,082.7691,729.9241,415.0471,484.371487.484273.688227.8181.7
Uitgestelde opbrengsten niet-vlottend 8,893.4239,201.5268,965.55555.92861.75258.41558.47357.02353.13249.50245.48538.626000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 156.824165.751170.656-55.928-61.752-58.415-58.473-57.023-53.132-49.502-45.485-38.626000000000000000000
Overige niet-vlottende verplichtingen -8,523.607-8,481.796-8,274.203879.956831.311704.087691.249656.401623.281590.794564.831460.518441.13902,362.68540.60342.4772,153.4920.436-0.2910.183-0.1630.2310.076178.953-0.371-0.4840.31200
Totaal niet-vlottende verplichtingen 8,198.8699,201.5268,965.5558,444.2938,127.6017,744.358,020.7197,687.2817,080.2297,116.6466,710.2224,311.5512,070.3494,101.6874,020.7143,715.063,250.6792,8262,3672,4422,3382,4712,0831,7301,5941,484487274227.8181.7
Totaal passiva 8,893.4239,201.5268,965.5558,444.2938,127.6017,744.358,020.7197,688.0897,080.7827,117.5536,711.0964,312.2574,073.4354,491.6354,401.6814,248.0043,686.6783,171.2082,603.9332,661.4652,573.4962,678.8522,294.5411,905.2311,7491,658.538515.822292.63239.6193.3
Eigen vermogen:
Preferente aandelen 478.156485.221240.821126.022282.913350.777188.60994.899003.5953.5797.1510000.040.040.040.040.040.0730.0960.1830.1830.1830.0830.02700
Gewone aandelen 1.421.41.3981.3951.4061.3851.3811.3731.371.321.2941.1440.9520.8590.8150.7710.7730.7470.7370.7260.7090.6820.6870.6720.6580.6390.2610.1900
Ingehouden winsten 478.156485.221240.821126.022282.913350.777188.60994.899-197.989-267.085-345.254-142.329-171.648-282.743-149.988-21.9422.499151.714115.78810.7692.024-51.85-3.497-47.845-69.507-80.339-31.169-23.663-13.7-6.4
Overige gereserveerde algehele resultaten 16.1161.424-26.106-40.25-31.503-26.144-37.419-30.51-31.387-42.515-48.631-108.007-87.02-1.175-1.067-2.932-3.366-3.579-4.47-7.096-8.212-12.64-8.483-316.045-206.962-143.135-79.031-52.55400
Overige totale aandeelhoudersvermogen 10,809.39310,280.28710,476.15910,538.98510,454.4699,955.81110,046.86610,010.75510,068.5329,354.6858,988.7237,086.4074,652.4573,593.6773,200.3672,940.4993,026.7082,482.5162,429.5682,380.8522,316.7732,258.2752,325.7522,805.5282,645.9132,562.105902.551488.277251.3203.1
Totaal eigen vermogen van aandeelhouders 11,783.24111,253.55310,933.09310,752.17410,990.19810,632.60610,388.04610,171.4169,840.5269,046.4058,599.7276,840.7944,401.8923,310.6183,050.1272,916.3963,026.6542,631.4382,541.6632,385.2912,311.3342,194.542,314.5552,442.4932,370.2852,339.453792.695412.277237.6196.7
Totaal eigen vermogen 11,784.79111,256.23810,936.46110,754.85110,993.4510,635.8510,394.10210,179.1829,850.5239,059.178,617.0476,847.8214,408.9553,329.8533,055.9242,925.373,049.8062,636.7082,561.1272,406.8162,336.0862,271.9832,369.7482,491.9942,405.6622,371.666801.828419.279237.6196.7
Totaal passiva en aandeelhoudersvermogen 20,678.21420,457.76419,902.01619,199.14419,121.05118,380.218,414.82117,867.27116,931.30516,176.72315,328.14311,160.0788,482.397,821.4887,457.6057,173.3746,736.4845,807.9165,165.065,068.2814,909.5824,950.8354,664.2894,397.2254,154.6624,030.2041,317.65711.909477.2390