CBL & Associates Properties, Inc.

NYSE:CBL

27.6 (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 6.546-99.515-622.172-335.529-131.721-78.568126.12172.43971.139219.1585.204131.6184.99498.17-7.0657.472000000000000000
Afschrijvingen & Amortisatie 190.505277.108208.078214.456255.937285.401299.09292.693-297.582291.641278.974254.197275.464290.388313.114332.09252.089237.861191.041150.484120.13399.74389.44461.9155.2445.35733.36327.04123.519.42.9
Uitgestelde Inkomstenbelasting -1.2831.128-10.85314.5582.668-2.9054.526-0.907-0.1531.3291.8243.095-5.6952.0311.17-7.472-9.104-5.750000000000000
Aandelen Gebaseerde Vergoedingen 12.98211.8851.4775.8194.7835.3865.7925.7145.2183.9792.7253.741.7832.3133.160000000000000000
Verandering in Werkkapitaal -19.296-51.00671.819-49.72229.33914.536-2.433-9.7353.986-2.952-6.43-2.15-42.794-5.6-6,702.47270.1157,382.91860.2-138.9-73.1-65.9-117-278.4-18.2-6.8-58.6-10-162.8-10.8-6.5-2.8
Vorderingen -3.752-10.49421.133-75.109-10.8851.379-3.941-7.979-5.455-4.053-12.358-2.150000-5.614-22.871-10.995-5.091-22.543-7.199-13.693-12.176-4.9-8.7-2-1.7-2.9-4.40.1
Voorraden 000-35.457-40.28700000000000000000000000000
Crediteuren -16.791-40.15749.19835.45740.28711.8148.1682.637.638-19.529-19.52915.6450.875-5.6-6.686073.3074.74516.49611.9071.34623.15718.2085.9296.915.11.15.2-7.9-2.1-1.5
Overig Werkkapitaal 1.247-0.3551.48825.38740.2241.343-6.66-4.3861.8031.1015.928-21.141-43.6695.6-6,695.78670.1157,315.22578.326-144.401-79.916-44.703-132.958-282.915-11.953-8.8-65-9.1-166.310.86.5-1.4
Overige Niet-Contante Posten -0.64168.634726.874283.783112.402571.23548.364583.053127.624-43.757104.27895.71828.08442.496,823.73111.872-7,155.62496.6337.433261.813220.116291.18358.08174.10465.756102.36637.489190.54816.3143.7
Kasstroom uit Operationele Activiteiten 188.813208.23438.774133.365273.408234.99377.188447.715515.822468.061464.751481.515441.836429.792431.638419.093470.279388.911389.574339.197274.349273.923169.125117.814114.19689.12360.85254.7892926.93.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2.663-4.238-4.823-1.2635.786-6.853-16.618-7.054-11.534-261.111-115.593-236.976-216.8790-229.732-437.765-564.72-452.383-787.822-806.546-500.627-574.993-442.301-335.005-467.492-1,253.444-368.893-495.617000
Netto Overnames 0.117-3.2690.298-11.024-5.7867.342-0.393-0.513-192-225.494-41-96-120-66.8190-3760-427000000000000
Aankoop van Beleggingen -366.567-741.042-1,270.481-235.182-5.786-145.547-306.391-291.207-426.365-34.063-34.063-8.809-35.499-9.61-91.0270-239.532-33.81-28.699-36.337-25.855-21.359-25.11-6.072-6.617-6.631-3.952-6.263000
Verkoop/verval van Beleggingen 365.353600.6971,361.2718.91218.56389.465229.005200.857159.15915.87711.002-353.945-231.201025.02804.6172.73113.17317.591.842.1350.9961.4541.4233.4036.7713.193000
Overige Investeringsactiviteiten 0.281-8.8331.064-41.8411.8093.189-75.8129.988-1.486-234.855-125.693-246.67228.8794.052204.704437.7651,175.635483.4621,230.348825.293524.642594.217466.415339.623472.6861,256.672366.074498.687000
Kasstroom uit Investeringsactiviteiten -3.479-156.68587.329-280.39724.586-52.404-94.397-97.917-280.226-234.855-125.693-246.67-266.7-5.558-157.846-454.183-1,555.861-474.356-1,203.858-722.216-617.701-359.492-286.694-194.938-262.514-580.928-265.225-265.984-99.7-111.2-59.8
Financieringsactiviteiten:
Schuldaflossingen -79-524.171-158.043-154.658-206.981-149.824-56.815-211.675-36.406-11.281-118.575-1,884.935-2,086.4610-1,159.321-1,382.417-305.356-776.092-353.806-355.651-390.115-817.734-663.622-192.82-85.167-176.673-166.743-111.953-130.4-27.8-234.1
Uitgifte van Gewone Aandelen 01.740.0050.0050.040.1560.2040.1790.1880.175209.5470.1720.1790381.9850.36411.6829.28310.24915.79777.483128.14711.1554.9742.7112.12675.6392.01780.80276.9
Terugkoop van Gewone Aandelen -4.293-1.74-0.011-0.087-0.133-0.289-0.390000-1150000-105.168-6.706-48.4850-129.39-10.186000000000
Uitgekeerde Dividenden -118.093-23.87300-59.628-182.705-226.173-225.852-225.554-211.697-196.247-177.478000-21.819-26.145-30.5680000000000000
Overige Financieringsactiviteiten -2.704402.246-0.365364.523-29.706-35.402-68.305-47.213-47.682-60.352-274.134-35.2112,251.7020855.6141,548.375557.548926.951525.781446.717612.47773.45702.272244.522136.449222.054131.781144.54677.450.2-42.8
Kasstroom uit Financieringsactiviteiten -204.09-145.798-158.408209.696-296.448-367.775-351.089-484.561-236.642-260.768-351.806-212.689-2,344.720-963.098-1,697.838-684.548-1,048.883-620.819-537.188-617.3-844.349-720.285-248.851-138.524-227.731-132.955-144.998-78.1-50.267.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 81.7220147.03200672.8791,294.9771,241.8571,555.9031,070.7532,321.2382,156.3982,174.7800.065-1.5791,807.2561,134.191,438.175925.641967.629933.136842.807324.085288.089722.239336.154357.462000
Netto Kasstroomverandering 78.358-94.249107.77362.6641.546-7.48913.676-52.62533.638-27.562-12.74822.1565.196424.234-3.165-14.59937.126-0.1383.0725.4346.9773.2184.953-1.891.2472.703-1.1741.269-148.8-134.511.2
Kaspositie aan het Einde van de Periode 123.076141.949169.554121.72259.05825.13832.62718.95171.57637.93865.578.24856.092424.23448.06251.22765.82628.728.83825.76620.33213.35510.1375.1847.0745.8273.1244.298-146.7-122.111.2