EPR Properties

NYSE:EPR

48.76 (USD) • At close October 17, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 173.046176.22998.606-131.728202.243266.983262.968224.982194.333175.752175.637133.866102.563117.773-11.906129.883104.66482.28969.0653.71337.59431.15923.5824.17223.219.21.4
Afschrijvingen & Amortisatie 168.033163.297163.385169.853171.42152.849132.839107.75689.80966.93153.99450.25447.92752.09947.7243.82940.32733.86830.94226.66416.35913.9110.44910.46107.30.7
Uitgestelde Inkomstenbelasting -0.344-0.169-31.99315.246-4.1150.5730.812-1.065-1.1361.796-14.78718.03136.586-4.529115.88-1.051-3.378-5.973000000000
Aandelen Gebaseerde Vergoedingen 17.81616.66614.90315.07713.7618.32914.14211.16414.8858.9026.5165.8335.614.714.3073.9653.2494.869000000000
Verandering in Werkkapitaal 1.93237.27230.088-84.63623.501-11.4825.583-30.937-0.539-9.66312.694-5.387-1.4941.898-8.287-32.632-11.559-15.033-6.7881.421-5.1181.159-1.254-1.088-0.1-7.23.4
Vorderingen -11.32225.97436.821-47.383-1.385-22.38.866-37.627-11.623-5.214-7.163-6.3480.606-8.6021.5830-4.642-5.404000000000
Voorraden 008.65316.128-27.542.584-2.432-6.0030-10.35-2.979-6.531-5.552-6.955-6.3550-2,085.611-1,530.877000000000
Crediteuren 8.48814.576-8.653-16.12827.540.26-4.9217.0255.7114.5867.8168.7264.04319.8990.104-2.5345.9892.635000000000
Overig Werkkapitaal 4.766-3.278-6.733-37.25324.8867.9744.069-4.33211.0841.31515.02-1.234-0.591-2.444-3.619-30.0982,072.7051,518.613-6.7881.421-5.1181.159-1.254-1.088-0.1-7.20
Overige Niet-Contante Posten 86.61148.42131.93681.46132.72157.076-25.244-5.698-18.8926.5770.0664.6584.6078.441.1032.262-1.7135.5421.3172.6182.167-0.3730.054-2.8620.30.11.9
Kasstroom uit Operationele Activiteiten 447.094441.716306.92565.273439.53484.328391.1306.202278.46250.295234.12207.255195.799180.391148.817146.256131.59105.56294.53184.41651.00245.85532.82930.68233.419.47.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 4.859-13.415-113.195-133.177-437.217-396.3140000-275.597-30.831-53.175-247.117-154.784-177.899-112.786-134.829-183.7580-125.675-163.674-22.376-37.816-41.2-249.2-214.5
Netto Overnames -4.859-26.088-13.611-1.69-0.325-29.4730000-1.607-1.8-3.97-16.691-1.677-0.1170000-21.987000000
Aankoop van Beleggingen -270.168-3.83-4.379-95.149-154.727-43.968-135.625-194.085-72.698-98.264-3.262-113.823-2.113-51.83300-71.0020000000000
Verkoop/verval van Beleggingen 59.09813.415113.195228.326437.21774.2430.60620.9514.74151.8172.9274.4940-0.09100000003.0651.44515.295000
Overige Investeringsactiviteiten 10.022-321.66719.852135.676251.557298.7-567.194-489.013-500.582-329.779-58.919-113.823148.94-4.586-35.541-313.936-236.86-26.323-36.156-251.793.9235.268-13.3360000
Kasstroom uit Investeringsactiviteiten -201.048-351.5851.862133.98696.505-96.812-702.213-662.147-568.539-376.226-336.458-255.78389.682-320.318-192.002-491.952-420.648-161.152-219.914-251.79-143.739-155.341-34.267-22.521-41.2-249.2-214.5
Financieringsactiviteiten:
Schuldaflossingen 00-1,288.765-160-95.265-949.684-547.712-865.266-503.314-68.747-93.532-658.571-425.859-711.88-267.174-346.156-473.989-392.942-196.709-90.923-100.263-5.149-126.15-14.365-1.1-0.40
Uitgifte van Gewone Aandelen 0.6150.7580.460.972305.5560.956243.559142.628190.158264.158220.7850.2310.253141.134284.965224.214871.015538.188000000000
Terugkoop van Gewone Aandelen -3.696-4.257-2.763-113.381-9.691-7.156-6.729-4.211-8.222-2.892-3.246-118.245-83.1-2.182-1.201-0.777-1.448-0.919000000000
Uitgekeerde Dividenden -272.245-265.661-117.531-172.46-367.317-342.315-311.721-265.662-233.073-207.637-197.924-162.775-157.844-146.324-127.116-124.93-97.815-82.007-71.088-55.897-42.595-33.78-26.393-25.891-24-19.10
Overige Financieringsactiviteiten -0.369-0.232361.921742.038258.52870.646104.2041,363.645846.473263.369207.809983.78384.235847.207126.184628.845-3.424-3.74388.468294.82256.031133.916172.62315.77852.8206.4252.3
Kasstroom uit Financieringsactiviteiten -275.695-269.392-1,046.678297.169-23.223-427.553333.466371.134292.022121.587100.17144.42-282.315127.95515.658381.196294.33958.58120.671148113.17394.98720.08-24.47827.7186.9252.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.119-0.129-0.2180.1420.121-0.4420.229-0.137-0.996-0.278-0.5390.147-0.3170.610.583-0.5880.475-0.1220.0030.10200000.1229.8207.1
Netto Kasstroomverandering -29.53-179.39-738.109496.57512.933-40.47922.58215.0520.947-4.622-2.706-3.9612.849-11.362-26.94434.9125.7562.868-4.709-19.27220.436-14.49918.642-16.31720186.9252.3
Kaspositie aan het Einde van de Periode 80.981110.511289.9011,028.01531.4418.50741.91719.3354.2833.3367.95810.66414.62511.77623.13850.08215.179.4146.54611.25530.52710.09124.595.94822.3232.1252.3