Digital Realty Trust, Inc.

NYSE:DLR

158.25 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,625.495141.773142.698108.50189.817126.70.05110.52857.05341.32156.80856.28140.63111.71972.3273.33431.35222.26110.934.5575.1740
Kortetermijnbeleggingen 8.53817.12002.39620.11916,752.45911,452.06710,809.2669,887.8839,809.0748,675.8856,094.6075,209.9073,603.933,032.3728.52100000
Liquide middelen en kortetermijnbeleggingen 1,625.495141.773142.698108.50189.817126.70.05110.52857.05341.32156.80856.28140.63111.71972.3273.33439.87322.26110.934.5575.1740
Nettovorderingen 1,278.11969.292671.721603.111305.501299.621276.347203.938177.398135.931181.163168.28690.5870.33746.08639.108108.07971.51832.68115.2876.3170
Voorraad -8.5381,712.65500-2.396-20.119-19.002-13.116-1.56900000-107.740000000
Overige vlottende activa -2,903.605-1,712.655-1,361.804-711.612-395.3188.522152.66867.605198.148132.02640.36244.05246.815190.067145.5599.957000000
Totaal vlottende activa 3,382.1081,111.065814.419711.612625.252434.843429.066282.071432.599309.278278.333268.617378.026272.123156.216212.39974.79253.55418.5177.60811.4910
Niet-vlottende activa:
Materiële vaste activa, netto 1,414.2561,351.3291,405.4411,386.959628.68114,741.67713,677.7098,889.968,664.1058,108.5588,313.5827,536.5025,218.5394,566.8423,157.1932,746.4982,340.4561,784.0941,194.106787.412394.2310
Goodwill 9,239.8719,208.4977,937.448,330.9963,363.074,348.0073,389.595752.97330.6640000000000000
Immateriële activa 2,500.2373,092.6272,735.4863,166.1982,270.1393,264.1543,183.1811,544.5591,424.357495.567541.72560.26262.611294.519250.077253.741000000
Goodwill en immateriële activa 11,740.10812,301.12410,672.92611,497.1945,633.2097,612.1616,572.7762,297.5291,755.021495.567541.72560.26262.611294.519250.077253.741000000
Langetermijnbeleggingen 2,295.8891,991.4261,807.6891,148.1581,287.109175.108163.477106.402106.10794.72970.50466.63423.97617.6356.3928.4812,472.75100000
Belastingvorderingen -2,277.10741,484.99821,309.62621,111.13414,709.319-14,741.677-13,677.709-8,889.96-8,664.105-8,108.558-8,313.582-7,536.502132.32103.211134.378.14000000
Overige niet-vlottende activa 27,558.004-16,754.944359.459221.234184.56115,544.58314,239.0269,506.5839,157.548,627.218,795.1887,923.70383.09475.15340.81150.41-4,813.207-1,784.094-1,194.106-787.412-394.2310
Totaal niet-vlottende activa 40,731.1540,373.93335,555.14135,364.67922,442.87923,331.85220,975.27911,910.51411,018.6689,217.5069,407.4128,550.5975,720.545,057.363,588.8433,067.274,813.2071,784.0941,194.106787.412394.2310
Totaal activa 44,113.25741,484.99836,369.5636,076.29123,068.13123,766.69521,404.34512,192.58511,451.2679,526.7849,685.7458,819.2146,098.5665,329.4833,745.0593,279.6692,809.4642,186.2191,529.171,013.287479.698269.836
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,168.9841,868.8841,543.6231,987.581,007.7611,164.509980.218824.878608.343605.923662.687646.427315.133237.631151.229171.176000000
Kortlopende schulden 1,812.2872,150.451398.172531.905234.1051,647.735550.946199.209967.884525.951724.668723.729000138.5790145.4521814444.43653
Belastingschulden 0000000000000000000000
Uitgestelde opbrengsten 401.867369.654336.578371.659234.620199.761144.194126.925115.019000000000000
Overige kortlopende verplichtingen 426.989-5.9382.151-47.2732.7217.2415.0332.5995.7955.764102.50993.43475.45551.2137.004-112.487398207.54821329900
Totaal kortlopende verplichtingen 4,810.1274,383.0512,280.5242,843.8711,479.1863,029.4851,735.9581,170.881,708.9471,252.6571,489.8641,463.59390.588288.841188.233197.26839835339434344.43653
Langlopende verplichtingen:
Langetermijnschulden 17,425.90715,917.39614,562.22514,241.52410,581.8829,453.7448,097.6725,639.3984,966.3574,147.1764,237.2243,554.8362,940.212,806.9541,784.4441,257.0941,367.738977.186568.067475.498253.4290
Uitgestelde opbrengsten niet-vlottend -20,423.74621,862.85417,845.778-698.30812,418.56612,892.65310,300.9937,060.28800000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,151.0961,192.752666.451698.3081,180.723604.487569.221385.74100000000000000
Overige niet-vlottende verplichtingen 20,153.553-21,493.2-17,509.2502.549-13,241.791-13,087.716-10,402.851-7,196.019239.461212.713312.145302.404187.357179.025137.581262.2060.262145.814180.93321.50200
Totaal niet-vlottende verplichtingen 18,306.8117,479.80215,565.25414,744.07310,939.389,863.1688,565.0355,889.4085,205.8184,359.8894,549.3693,857.243,127.5672,985.9791,922.0251,519.31,3681,123749497253.4290
Totaal passiva 23,116.93621,862.85317,845.77817,587.94412,418.56612,892.65310,300.9937,060.2886,914.7655,612.5466,039.2335,320.833,518.1553,274.822,110.2581,716.5681,687.6371,338.031880.228839.091328.303183.524
Eigen vermogen:
Preferente aandelen 731.69731.69731.69950.941,434.421,249.561,249.561,012.9611,290.1351,048.121694.831572.711569.781502.341662.338662.448328.867159.799159.799000
Gewone aandelen 3.0882.8872.8242.7882.0732.0512.0441.5821.4561.3491.2791.2471.0570.9090.7660.7320.6540.5420.2740.21400
Ingehouden winsten -5,262.648-4,698.313-3,631.929-3,997.938-3,046.579-2,633.071-2,055.552-1,547.42-1,350.089-1,096.603-785.222-656.104-488.692-348.148-231.871-161.441-103.09-52.093-27.782-9.51700
Overige gereserveerde algehele resultaten -6,014.041-595.798-173.88135.01-87.922-115.647-108.432-135.608-96.59-45.04610.691-12.191-55.88-42.081-27.947-49.5033.3794.191.6440.091-13.0260
Overige totale aandeelhoudersvermogen 29,659.44522,142.86821,075.86320,626.89711,577.3211,355.75111,261.4625,764.4974,655.223,970.4383,688.9373,562.6422,496.6511,849.4971,155.7091,040.591814.106597.334252.562182.411160.97783.177
Totaal eigen vermogen van aandeelhouders 19,117.53417,583.33418,004.56817,717.6979,879.3129,858.64410,349.0825,096.0124,500.1323,878.2593,610.5163,468.3052,522.9171,962.5181,558.9951,492.8271,043.916709.772386.497173.199147.95183.177
Totaal eigen vermogen 20,996.3219,622.14518,523.78218,488.34710,649.56510,874.04211,103.3525,132.2974,536.5023,914.2383,646.5123,498.3842,580.4112,054.6631,634.8011,563.1011,121.827848.188648.942174.196151.39586.312
Totaal passiva en aandeelhoudersvermogen 44,113.25741,484.99836,369.5636,076.29123,068.13123,766.69521,404.34512,192.58511,451.2679,526.7849,685.7458,819.2146,098.5665,329.4833,745.0593,279.6692,809.4642,186.2191,529.171,013.287479.698269.836