CTO Realty Growth, Inc.

NYSE:CTO

16.72 (USD) • At close August 13, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9.01710.21419.3338.6154.2896.4752.316.5597.784.0611.8814.9331.3020.0060.3380.2670.3890.8640.7381.1270.2741.0261.022.79812.9116.50.39.41.80.20.53.11.51.42.25.1004.34.7
Kortetermijnbeleggingen 39.66639.44542.04141.03730.57438.8140.65211.92623.965.7040.8210.73004.944.9675.26110.19311.7814.3413.6433.8925.0135.4878.17816.700000000000000
Liquide middelen en kortetermijnbeleggingen 48.68349.65961.37449.65234.86345.2892.316.5597.789.7642.7035.6621.3020.0065.2770.2675.6511.05712.51815.4683.9174.9186.0338.28521.08833.20.39.41.80.20.53.11.51.42.25.1004.34.7
Nettovorderingen 124.20173.2648.426.0657.0163.9827.0046.1471.9722.7680.26700.240.40.02904.1545.1640.704.4259.159.6419.24611.6027.49.1102.213.111.15.46.144.56.20032.9
Voorraad 00.731-5.42125.92828.676129.26392.9533.3347.6953.40638.07123.769-24.4152.78-27.0470000027.71819.35912.3400000.90.70.80.70.90.70.70.70.7000.70.6
Overige vlottende activa 8.3448.2695.421-31.993-15.455129.26333.8912.77164.13914.0614.440.3673.43425.046000.46310.3881.1867.8414.58315.59611.95412.91513.02814.433.32133.919.421.621.72202.22.1001.91.8
Totaal vlottende activa 182.696131.92395.59179.54865.258183.23998.12314.18418.57924.6837.416.0294.97531.0125.3070.26710.26626.60914.40423.30850.64349.02339.96730.44645.7185542.741.338.633.533.931.130.36.19.614.1009.910
Niet-vlottende activa:
Materiële vaste activa, netto 00.4220.0630.168480.2040.36426.51352.81661.78457.93342.85444.10846.829119.964133.045133.985151.822132.606113.638101.0168.57848.88334.35931.77117.6358.47.416.921.126.327.735.335.937.537.335.70026.222
Goodwill 0000000000000004.589000000000000000000000000
Immateriële activa 79.19897.109116.709100.5150.17649.02243.55538.75834.72620.0877.3396.3594.5273.5724.1674.5895.014.7185.1044.59200000000000000000000
Goodwill en immateriële activa 79.19897.109116.709100.5150.17649.02243.55538.75834.72620.0877.3396.3594.5273.5724.1674.5895.014.7185.1044.59200000000000000000000
Langetermijnbeleggingen 079.29259.49939.09548.67790.3626.78811.92623.9638.33230.20818.845-32,237.394-32,060.28327.0474.967-33,316.436-32,882.399-29,491.587000000000000000000000
Belastingvorderingen 02.0092.53495.2197.583377.42854,769.90742,293.86451,364.57239,526.40634,038.44232,552.06832,357.50532,060.28335,093.21434,275.36833,316.43632,882.39929,491.587000000000000000000000
Overige niet-vlottende activa 919.75837.497712.15318.59914.0332.872-54,388.557-41,945.417-51,094.998-39,261.425-33,850.33-32,401.2258.25415.719-35,085.021-34,242.66.0487.920.62814.348000000000-0.1-0.10-0.124.127.327.976.870.98.77.7
Totaal niet-vlottende activa 998.948937.037890.954653.591600.673520.047458.206451.946390.044381.333268.513220.155179.722139.254172.452176.308162.88145.224139.37119.9568.57848.88334.35931.77117.6358.47.416.921.126.227.635.335.861.664.663.676.870.934.929.7
Totaal activa 1,181.644989.668986.545733.139665.931703.286556.33466.13408.623406.017275.923226.184184.697170.266177.759176.575173.146171.833153.774143.258119.22197.90674.32662.21763.35463.450.158.259.759.761.566.466.167.774.277.776.870.944.839.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3.2782.7582.5440.6761.0471.3871.0371.6671.5181.9340.8590.8720.4410.3861.0470.8640.7060.4520.1670.2490.4060.1060.3040.1820.2210.30.30.70.71.20.72.33.64.54.73.70000
Kortlopende schulden 50.98900019.27374.705000000015.2670000008.71710.139.2350000.5000000000000.30.1
Belastingschulden 0.072.090.7160.8130.0260.4830.0120.0670.0290.04267.281.044239.72399.90529.35101,236.2063,058.0490000000000000000000000
Uitgestelde opbrengsten 10.1835.25.7354.5053.3195.8317.2022.031.99214.7252.7193.3440-15,266.714-15,249.248-13,246.042-8,508.603-6,762.5440.563029.831.131000000000000000000
Overige kortlopende verplichtingen 61.492-1.84417.31212.3081.0492.2367.36410.5368.6398.828-261.8784.727-233.33315,636.747-21.3738.814-1,193.258-3,010.14742.98440.74430.48820.88111.9294.32200-0.50.23.72.62.10.30.6121.4003.83.5
Totaal kortlopende verplichtingen 75.0238.20426.30718.30214.28784.64314.78314.07212.17825.5278.9799.9887.4138.1889.0249.67843.65448.35543.71540.99339.6132.24821.4684.5030.2210.30.80.94.43.82.82.64.25.56.75.1004.13.6
Langlopende verplichtingen:
Langetermijnschulden 483.302506.228455.532284.072275.055239.075275.015225.587198.99131.619107.58466.56732.82919.05915.24913.218.556.8077.0627.2980009.4589.84610.310.213.517.920.9253532.934.943.232.524.821.76.13.1
Uitgestelde opbrengsten niet-vlottend 009.6864.5053.3195.8317.2022.031.99214.7252.7193.3440.971000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00-9.6860.4833.52190.28254.7742.29451.36539.52634.03832.55232.35832.0635.093000000002.8732.1710000.40.10.100001.70021.5
Overige niet-vlottende verplichtingen 10.52115.3617.51612.4815.28299.5789.6058.7425.677111.911-5.80229.212-2.9729.8550.79235.653000000004.5624.84.45.91.22.22.51.912.61.61.616.114.100.1
Totaal niet-vlottende verplichtingen 493.823521.588455.468284.357300.745333.23329.785267.881248.17240.101138.53996.02763.06748.91451.13448.86311.6786.8077.0627.29800012.3316.57915.114.619.419.523.227.636.933.937.544.835.840.935.88.14.7
Totaal passiva 568.846532.142481.775302.659315.032417.873344.568281.952260.348265.628147.518106.01470.4857.10160.15958.54255.33255.16250.77748.29139.6132.24821.46816.83416.79915.415.420.323.92730.439.538.14351.540.940.935.812.28.3
Eigen vermogen:
Preferente aandelen 0.0470.030.030.03339.917326.073213.298177.614136.8920000000000000000000000000000000
Gewone aandelen 0.3170.2260.2290.0597.256.0175.9955.9645.9155.9025.8625.7675.7265.7245.7245.7235.7285.7265.6935.6685.6425.6235.6165.6165.5856.400000000000000
Ingehouden winsten 232.089281.944316.279343.459339.917326.073213.298177.614136.892120.444112.561106.581103.243102.872107.807108.639109.556107.01295.6585.43572.31759.1347.17139.00940.9738.124.527.727.724.62318.819.916.414.528.427.92725.624.4
Overige gereserveerde algehele resultaten 12.5176.89115.7611.517-1.910.0740.4870.3730.256-0.6890.073-0.235-1.237-1.129-1.095-1.46-2.687-1.198-0.977-0.304-0.524-0.61-0.765-1.915-1.227-1-0.9-9.3-11.7-12.9-13-21.7-20.8-19.7-20.4-18.100-11.5-10.4
Overige totale aandeelhoudersvermogen 367.828168.435172.47185.4145.642-46.751-8.0180.2275.2139.1259.9088.0566.4855.6985.1645.1315.2185.1312.6314.1692.1761.5140.8362.67404.511.119.519.820.92129.828.927.828.426.288.118.517.4
Totaal eigen vermogen van aandeelhouders 612.798457.526504.77430.48350.899285.413211.761184.178148.276134.781128.405120.169114.217113.164117.6118.034117.814116.671102.99794.96879.61165.65852.85845.38346.5554834.737.935.832.63126.92824.522.536.535.935.132.631.4
Totaal eigen vermogen 612.798457.526939.108683.203615.312464.29465.577397.15329.631140.388128.405120.169114.217113.164117.6118.034117.814116.671102.99794.96879.61165.65852.85845.38346.5554834.737.935.832.731.126.92824.722.736.835.935.132.631.4
Totaal passiva en aandeelhoudersvermogen 1,181.644989.668986.545733.139665.931703.286556.33466.13408.623406.017275.923226.184184.697170.266177.759176.575173.146171.833153.774143.258119.22197.90674.32662.21763.35463.450.158.259.759.761.566.466.167.774.277.776.870.944.839.7