Cousins Properties Incorporated

NYSE:CUZ

31.65 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6.0475.1458.9374.2915.6032.547148.92935.6872.00300.975176.8924.8587.5999.46482.96317.82511.5389.33689.4913.0619.47110.5561.6961.4731.34732.6941.5981.5523.407000000000
Kortetermijnbeleggingen 0112.83900000000000167.108146.150209.47700000000000001.31.92.5000000
Liquide middelen en kortetermijnbeleggingen 6.0475.1458.9374.2915.6032.547148.92935.6872.00300.975176.8924.858174.707155.61482.963227.30211.5389.33689.4913.0619.47110.5561.6961.4731.34732.6941.5981.5523.4071.31.92.5000000
Nettovorderingen 220.479192.696167.419158.589125.99496.93772.57867.14778.08668.67151.74749.3548.548.39549.67851.26644.41432.13840.01424.95719.84750.60739.9240.6437.30339.4738.46456.49753.86852.571000000000
Voorraad 00000-5.0870-8.43200-3.60600-167.1083.5850.00100000000000000000000000
Overige vlottende activa -226.526-197.841-177.587-164.727-143.6025.23560.71824.06615.9588.4730.976.7624.92915.52147.3533.63600000000000000000000000
Totaal vlottende activa 226.526197.841177.587296.568504.18499.632282.225118.46896.04777.14180.086233.00458.28771.515256.23137.866271.71643.67649.35114.44732.90860.07850.47642.33638.77640.81771.15858.09555.4255.9781.31.92.5000000
Niet-vlottende activa:
Materiële vaste activa, netto 21.16819.91519.50717.21117.79114.94212.24115.77313.52310.598.7434.814963.9411,088.3951,235.3221,271.7491,163.365903.241887.813675.446878.761965.196939.766884.448732.861438.689416.569357.324219.861137.1398.864.563.663.759.20000
Goodwill 1.6741.6741.6741.6741.6741.6741.6741.6743.6473.8674.1314.75100000030.07336.6780000000000000000000
Immateriële activa 108.993134.566166.879187.49255.975144.209184.532243.855120.968159.377166.84228.529000011.5360000000000000000000000
Goodwill en immateriële activa 110.667136.24168.553189.164257.649145.883186.206245.529124.615163.244170.97333.28000011.536030.07336.6780000000000000000000
Langetermijnbeleggingen 143.831112.83977.811125.481133.884161.907101.414179.397102.577100.498107.08297.868160.587167.108146.15200.85209.477181.918217.232199.233185.221185.516185.397175.471151.737264.648120.198132.262137.26130.838000000000
Belastingvorderingen 7,123.5787,537.0166,819.8876,473.2036,178.493,684.8493,619.4073,583.3572,242.282,296.7341,876.428740.483000000-30.073-36.6780000000000000000000
Overige niet-vlottende activa 8.704-466.83548.6895.77159.44939.0833.12629.08318.76119.12329.89414.79352.7244.264-146.1583.33125.233111.59483.229152.31376.43297.36586.85355.83348.33449.52180.97267.05860.88562.849220.9131.3105.8104.798149.4145.4145.2130.4
Totaal niet-vlottende activa 7,407.9487,339.1757,134.4476,810.836,647.2634,046.6643,922.3944,053.1392,501.7562,590.1892,193.12891.2381,177.2481,299.7671,235.3221,555.9291,509.6111,196.7531,188.2741,026.9921,140.4141,248.0771,212.0161,115.752932.932752.858617.739556.644418.006330.817319.7195.8169.4168.4157.2149.4145.4145.2130.4
Totaal activa 7,634.4747,537.0167,312.0347,107.3987,151.4474,146.2964,204.6194,171.6072,597.8032,667.332,273.2061,124.2421,235.5351,371.2821,491.5521,702.2581,509.6111,196.7531,188.2741,026.9921,140.4141,248.0771,212.0161,115.752932.932752.858617.739556.644418.006330.817319.7195.8169.4168.4157.2149.4145.4145.2130.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren -429.249271.103224.523186.267209.904110.159137.909109.27871.73976.2476.66834.751000000000000000000000000000
Kortlopende schulden 429.2492,334.606102.56316.5339.1611,051.5731,083.881885.004-71.739-76.24-76.668-34.75100590.20800000000000000009.134.7000000
Belastingschulden 000000000000000000000000000000000000000
Uitgestelde opbrengsten 216.616128.63674.51562.31952.26941.26637.38333.30429.78823.27725.75411.8883.984.21611.917171.8385.9972.0622.5513.5040000000000000000000
Overige kortlopende verplichtingen 299.767-2,334.606-102.563-3.924-17.93-1,051.573-1,083.881-885.00473.08686.668153.33669.50236.07532.38856.577-106.81200000000000000000000000
Totaal kortlopende verplichtingen 516.383399.739299.038261.192283.404151.425175.292142.582102.874109.945102.42246.63940.05536.604658.70265.0265.9972.0622.5513.504000000000009.134.7000000
Langlopende verplichtingen:
Langetermijnschulden 2,510.9752,334.6062,237.5092,221.3382,222.9751,062.571,093.2281,380.92721.293792.344630.094425.41539.442509.509590.208942.239676.189315.149467.516302.286497.981669.792585.275485.085312.257198.858226.348231.831113.43441.79935.20034.325.711.9012.730.8
Uitgestelde opbrengsten niet-vlottend 216.616161.80174.51562.31952.26941.26637.38333.30429.78823.27725.75411.888004.452171.838177.928156.1668.5023.5049.06103.568107.676111.858115.57600001.345000000000
Uitgestelde belastingverplichtingen niet-vlottend -216.616-161.801-74.515-62.319-52.269-41.266-37.383-33.304-29.788-23.277-25.754-11.88800-602.125000000000000000000000000
Overige niet-vlottende verplichtingen 58.803155.722175.087129.33217.233111.145110.988133.86590.22191.58381.7189.2415.8818.02920.0566.48557.20855.53855.79141.43535.2538.87429.57133.72335.688174.13520.71725.6223.05711.14410.319.755.318.823.628.532.360.554.1
Totaal niet-vlottende verplichtingen 2,569.7782,490.3282,412.5962,350.6682,440.2081,173.7151,204.2161,514.785811.514883.927711.812434.65555.322527.53812.5911,120.562911.325526.853531.809347.225542.291812.234722.522630.666463.521372.993247.065257.451136.49154.28845.519.755.353.149.340.432.373.284.9
Totaal passiva 3,086.1612,890.0672,711.6342,611.862,723.6121,325.141,379.5081,657.367914.388993.872814.234481.289595.377578.431671.2931,194.051911.325526.853531.809347.225542.291812.234722.522630.666463.521372.993247.065257.451136.49154.28845.519.755.353.149.340.432.373.284.9
Eigen vermogen:
Preferente aandelen 1,101.2280985.3381,078.3041.7176.8676.8676.8670180.75794.775169.602169.602169.602169.602169.602200200200200100000000000000000000
Gewone aandelen 154.336154.019151.273151.149149.347430.725430.35403.747220.256220.083193.236107.66107.272106.962103.35254.92254.85154.43953.35752.78451.52750.84450.10649.36432.32831.88731.47228.9228.22327.864000000000
Ingehouden winsten -1,125.39-1,013.292-985.338-1,078.304-1,137.2-1,129.445-1,121.647-1,214.114-124.435-180.757-164.721-260.104-274.177-114.196-51.402-22.22540.28699.396130.565170.077199.405131.871157.344155.124153.4103.2105105.396.297.53995.7100.9107.5108.8101.3101.91077447.7
Overige gereserveerde algehele resultaten 2.1921.767-985.338-1,078.304-1,137.2-6.867-6.867-6.8671,807.85-180.757-94.775-169.602-169.602-169.602-9.517-16.601-4.302-200-200-200-5.803-2.647-3.58-4.69000000000000000
Overige totale aandeelhoudersvermogen 4,391.7855,483.175,400.8355,394.2896,482.613,464.5853,463.273,265.924-220.2561,634.1321,428.886772.786770.597767.313575.376281.989261.668472.08448.358436.889233.648228.816258.803254.669251.994244.778234.202164.964153.255147.495174.975.26.66.56.67.16.1-2-2.2
Totaal eigen vermogen van aandeelhouders 4,524.1514,625.6644,566.774,467.1344,359.2742,765.8652,771.9732,455.5571,683.4151,673.4581,457.401620.342603.692760.079787.411467.687552.503625.915632.28659.75578.777408.884462.673454.467437.722379.865370.674299.184277.678272.898270.6176.1114.1115.3107.9109113.17245.5
Totaal eigen vermogen 4,548.3134,646.9494,600.44,495.5384,427.8352,821.1562,825.1112,514.241,683.4151,673.4581,458.972642.953640.158792.851820.259508.207598.286669.9656.465679.767598.123435.843489.494485.086469.411379.865370.674299.193281.515276.529274.2176.1114.1115.3107.9109113.17245.5
Totaal passiva en aandeelhoudersvermogen 7,634.4747,537.0167,312.0347,107.3987,151.4474,146.2964,204.6194,171.6072,597.8032,667.332,273.2061,124.2421,235.5351,371.2821,491.5521,702.2581,509.6111,196.7531,188.2741,026.9921,140.4141,248.0771,212.0161,115.752932.932752.858617.739556.644418.006330.817319.7195.8169.4168.4157.2149.4145.4145.2130.4