EastGroup Properties, Inc.

NYSE:EGP

161.32 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 200.548186.274157.638108.391123.3488.63683.58996.09448.39948.47333.35533.46522.83418.75526.65934.14229.73429.23422.19123.32720.44523.62634.18236.51238.35529.33620.77912.5097.7117.26.4-3.75.73
Afschrijvingen & Amortisatie 171.078153.638127.099116.359104.72491.70483.87477.93573.2970.31465.78961.69657.45158.3554.00451.09147.88442.21739.30633.45132.39730.81827.41323.82120.17816.57410.4097.7595.6134.533.12.421.9
Uitgestelde Inkomstenbelasting 00-38.859-13.145-41.151-14.359-22.148-42.903-3.026-9.286-0.822-6.51-0.475-0.43-0.254-2.944000000000000000000
Aandelen Gebaseerde Vergoedingen 8.9658.2927.5116.5796.8385.2835.5214.596.7335.1464.2293.4972.4521.9981.8272.2652.2200000000000000000
Verandering in Werkkapitaal -19.7917.8851.726-23.4660.956-6.7733.2992.8536.1462.7827.277-0.5173.81-2.056-1.438-0.82710.245-0.6245.3291.307-1.5221.369-3.4083.7663.427-6.48-0.842-0.824-0.10100.20.20.8-1.4
Vorderingen 00000000-0.78200000000-4.7650.579-2.559-0.7950.971-5.004-0.5680.5-13.4-3.7-0.10.8000.10.4-0.1
Voorraden 0000000000000000000000003.4-6.5-0.8-0.8-0.100000
Crediteuren -5.92217.17613.298-18.8516.514-2.6828.3335.7366.9282.3158.906-1.118-2.268-2.268-2.696004.1414.753.866-0.7270.3981.5964.3342.96.92.9-0.7-0.900.100-0.6
Overig Werkkapitaal -13.869-9.291-11.572-4.615-5.558-4.091-5.034-2.883-0.7820.467-1.6290.6016.078-2.0561.258-0.82710.2450.624-5.329-1.3071.522-1.3693.408-3.766-3.3736.520.7580.7760.09900.10.10.4-0.7
Overige Niet-Contante Posten -22.598-39.5881.3771.5671.2050.240.8790.295-0.157-0.028-0.0780.1770.4750.241-0.206-0.117-3.714-4.2560.147-0.561-0.678-2.027-7.439-11.083-15.21-10.037-6.661-5.448-3.477-3.3-34.45.5-3.90.6
Kasstroom uit Operationele Activiteiten 338.202316.501256.492196.285195.912164.731155.014138.864131.385117.401109.7591.80886.54776.85880.59283.6186.36966.57166.97357.52450.64253.78650.74853.01646.7529.39323.68513.9969.7468.45.34.44.64.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-40.851-33.301-33.131-37.775-37.502-26.158-23.671-24.514000-149.788-56.771-67.256-146.933-186.679-110.675-115.961-49.728-52.201-58.953-51.161-64.9-111.812-107.034-90.91-21.334-5.19200-6.600
Netto Overnames 0536.973527.004277.776498.775000000000011.728000000000000000000
Aankoop van Beleggingen 0-496.122-527.004-244.645-461-224.819-180.133-231.433-126.606-5.13200000-7.534000-9.187000000-16.100-1.9-1.2-1.5-2.10
Verkoop/verval van Beleggingen 010.00725.66925.58625.58610.14920.56235.8772.1311.3393.45110.5770.0330.0370.8487.969038.4126.03414.5270.8412.91711.31617.1751.0931.21539.93824.5368.7784.18.20.17.70
Overige Investeringsactiviteiten -570.058-531.155-521.631-313.842-468.923-251.584-199.988-222.349-158.548-165.721-179.562-130.485-1.078-6.767-13.916-17.4122.571-2.79210.959-20.972-3.5098.6224.6744.583-8.149-47.773-12.887-3.779-9.307-48.9-26.1-1.20.23.5
Kasstroom uit Investeringsactiviteiten -570.058-521.148-529.263-288.256-443.337-241.435-179.426-186.472-156.418-159.514-176.111-119.908-150.833-63.501-80.324-152.182-184.108-75.055-98.968-65.36-54.869-47.414-35.171-43.147-68.871-123.592-79.959-0.577-5.721-46.7-19.1-9.25.83.5
Financieringsactiviteiten:
Schuldaflossingen -186.97350.694142.29127.98476.387-3.826.1173.41199.09836.10479.839-18.66497.09443.737-3.95792.636153.714-17.81742.78948.32913.77831.22836.68333.7285.8141.082-25.207-2.1657.7881120.16-2.4-1.6
Uitgifte van Gewone Aandelen 692.31275.622273.40991.055284.71157.319109.20759.2836.23378.86853.247109.58825.1810.30357.18157.986068.11233.1042.59284.6482.5820.7533.3090.30.8150.6770.5530.3433.20-0.600
Terugkoop van Gewone Aandelen 000000000000000-33.0080000-86.2700-1.352-13.7-0.40-0.2-0.1-0.800.2-0.30
Uitgekeerde Dividenden -225.625-193.936-131.759-119.765-108.795-71.294-86.725-80.899-75.845-70.456-64.798-61.297-56.042-56.294-54.316-54.174-50.68-47.843-44.907-42.55-42.749-39.881-38.279-34.71-28.245-24.073-18.143-11.169-7.777-7.30-3.7-5-5.9
Overige Financieringsactiviteiten -7.654-32.07-6.797-7.506-5.027-5.143-4.686-3.713-3.08-2.4-3.177-0.443-1.91-2.0281.593-28.307-5.5115.0570.668-1.113-7.912-0.685-15.828-10.6457.845-21.73999.807-0.026-4.551-0.2-3.8000.2
Kasstroom uit Financieringsactiviteiten 272.063200.31277.14391.768247.27577.06223.90648.08226.40642.11665.11129.18464.323-14.2820.50168.14197.5237.50932.7027.2584.63-6.756-16.671-9.66521.99495.68557.134-13.007-4.335.916.31.9-7.7-7.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000038.313.84.8-10.4-7.6
Netto Kasstroomverandering 40.207-4.3374.372-0.203-0.150.358-0.5060.4740.0370.003-1.251.0840.037-0.9250.769-0.431-0.216-0.9750.707-0.5780.403-0.384-1.0940.204-0.1271.4860.860.412-0.27535.916.31.9-7.7-7.3
Kaspositie aan het Einde van de Periode 40.2630.0564.3930.0210.2240.3740.0160.5220.0480.0110.0081.2580.1740.1371.0620.2930.7240.941.9151.2081.7861.3831.7672.8612.6572.7841.2980.4380.02638.616.55-7.3-7.1