Equity Residential

NYSE:EQR

69.92 (USD) • At close January 14, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 50.74353.869123.83242.59145.75347.44250.64777.20742.27640.0853.534612.59394.613444.001193.288890.79450.831260.27788.82883.50549.57929.87551.60323.77229.1173.96533.295147.271000
Kortetermijnbeleggingen 0279.02400025.1431.8573.6551.92918.711.523000004.4480000000000000
Liquide middelen en kortetermijnbeleggingen 50.74353.869123.83242.59145.75347.44250.64777.20742.27640.0853.534612.59394.613444.001193.288890.79450.831264.72588.82883.50549.57929.87551.60323.77229.1173.96533.295147.271000
Nettovorderingen 0026.17241.31131.4950000000000000.390.7891.6810.4262.9262.41.8011.7314.7583.3021.45000
Voorraad 000000002,181.1350000000000000000000000
Overige vlottende activa 89.25283.303236.404071.24668.87150.115141.8812,240.68374.232122.277259.571162.929180.98700000000000000000
Totaal vlottende activa 139.995137.172360.23699.728116.999116.313100.762219.0882,336.25160.468199.737872.161546.85624.988193.288890.79450.831265.11589.61785.18650.00532.80154.00325.57330.8488.72336.597148.721000
Niet-vlottende activa:
Materiële vaste activa, netto 457.266462.956474.713499.287512.77419,724.83219,887.55519,907.2220,118.10322,058.02221,599.71715,742.38515,868.36315,365.01414,587.5815,128.93915,163.22514,212.69513,702.2312,252.79410,578.36610,934.24611,323.9411,358.66411,181.34410,253.4586,676.6732,681.9981,969.51,770.70
Goodwill 0000000000000000003030303047.29167.5890000000
Immateriële activa 00000166.23170.744161.539166.06170.598175.14700000000000000000000
Goodwill en immateriële activa 0-20,218.262-21,169.241-20,286.891-21,172.769166.23170.744161.539166.06170.598175.14700000003030303047.29167.5890000000
Langetermijnbeleggingen 282.049279.024127.44852.78252.23858.34958.25460.14168.101105.434178.52617.87712.3273.1676.9955.7953.54729.97642.06347.261473.977509.789397.237393.72484.97788.041220.927102.03000
Belastingvorderingen 020,218.26221,169.24120,286.89121,172.76920,394.20920,570.59920,704.148-20,284.163-22,228.62-21,774.86400000000000000000000
Overige niet-vlottende activa 19,155.25419,339.1120,206.84419,635.09420,490.758-20,065.724-20,217.315-20,347.98820,752.97722,684.71222,456.282568.577231.763191.025629.652-15,134.734-15,166.772-14,242.671-13,774.293-12,330.055-11,082.343-11,474.035-11,768.468-11,819.977-11,266.321-10,341.499-6,897.6-2,784.028-1,969.5-1,770.70
Totaal niet-vlottende activa 19,894.56920,081.0920,809.00520,187.16321,055.7720,277.89620,469.83720,485.0620,821.07822,790.14622,634.80816,328.83916,112.45315,559.20615,224.22715,134.73415,166.77214,242.67113,774.29312,330.05511,082.34311,474.03511,768.46811,819.97711,266.32110,341.4996,897.62,784.0281,969.51,770.70
Totaal activa 20,034.56420,218.26221,169.24120,286.89121,172.76920,394.20920,570.59920,704.14823,157.32822,950.61422,834.54517,20116,659.30316,184.19415,417.51516,535.1115,689.77715,062.21914,098.94512,645.27511,466.89311,810.91712,235.62512,263.96611,715.68910,700.267,094.6312,986.1272,141.31,847.7535.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 104.4396.028107.013107.36694.35102.471114.766147.482187.124153.59118.79138.37235.20639.45258.537250.306250.629248.081254.667229.859195.658240.407250.086126.681121.725119.65787.9779.092000
Kortlopende schulden 409.131129.955315.03414.831,017.833499.183299.75719.998387.2760115000010,501.2469,508.73300150000355.4623002902350000
Belastingschulden 0000000000000000000000000000000
Uitgestelde opbrengsten 0000000000000000000000000000000
Overige kortlopende verplichtingen 324.947310.931303.012298.158285.178269.223250.863253.242294.599611.106321.82336.399267.2239.536533.6150-9,759.362-248.081-254.667-379.859-195.658-240.407-250.086-482.143-421.725-409.657-322.97-79.092000
Totaal kortlopende verplichtingen 838.508536.914725.055820.3541,397.361870.877665.386420.722868.999764.696555.611374.771302.406278.988592.15210,751.5529,759.362251.987254.667379.859195.658240.407250.086482.143421.725409.657322.9779.092000
Langlopende verplichtingen:
Langetermijnschulden 7,292.9597,604.5158,338.7587,958.5568,350.4577,842.9858,657.5348,967.269,568.55310,844.86110,205.178,529.2449,721.0619,948.0769,392.570007,591.0735,641.9095,360.4895,523.6995,742.7585,706.1525,473.8684,680.5272,948.3231,254.9021,003.8998.6278.8
Uitgestelde opbrengsten niet-vlottend 08,517.319,483.0569,184.45410,164.8439,615.4549,729.7819,801.07200000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0686.415624.67658.26662.6682.4062.5273.16100000000000000000000000
Overige niet-vlottende verplichtingen 324.721375.881419.243405.544417.025442.062405.264413.091,408.833451.444865.424371.506356.575365.014258.28000-7,591.073-5,641.909-5,360.489-5,523.699-5,742.758-5,706.152-5,473.868-4,680.527-2,948.323-1,254.902-1,003.8-998.6-278.8
Totaal niet-vlottende verplichtingen 7,617.687,980.3968,758.0018,364.18,767.4828,744.5779,064.3959,380.3511,025.19110,977.40911,070.5948,900.7510,077.63610,313.099,650.85008,057.6567,591.0736,309.8065,360.4895,523.6995,742.7585,706.1525,473.8684,680.5272,948.3231,254.9021,003.8998.6278.8
Totaal passiva 8,456.1888,517.319,483.0569,184.45410,164.8439,615.4549,729.7819,801.07211,894.1911,742.10511,626.2059,275.52110,380.04210,592.07810,243.00210,751.5529,759.3628,766.5388,281.4227,037.1655,850.5236,002.4916,185.8536,031.8015,753.7764,938.4393,131.2361,376.661,003.8998.6278.8
Eigen vermogen:
Preferente aandelen 37.2837.2837.2837.2837.2837.2837.2837.2837.28505050200200208.773208.786209.662386.574504.096636.216670.913946.157966.6711,183.1361,310.2661,410.5741,041.713393000
Gewone aandelen 3.7933.7843.7553.7233.7173.6943.683.6593.6483.6293.6053.2512.9752.9022.82.7282.6962.9362.8952.8512.7762.7112.7161.3261.2751.1820.8910.512000
Ingehouden winsten 1,437.1851,658.8371,827.0631,399.7151,386.4951,261.7631,403.531,543.6262,009.0911,950.6392,047.258887.355615.572203.581353.659481.441599.504159.528-350.367-657.462-588.005-535.056-385.32-300.351-325.856-245.538-133.129-76.641-41.3-23.6-3.8
Overige gereserveerde algehele resultaten 5.704-2.547-34.272-43.666-77.563-64.986-88.612-113.909-152.016-172.152-155.162-193.148-196.718-57.8184.681-35.799-15.882-14.01-14.472-21.37-23.401-43.789-33.0400000000
Overige totale aandeelhoudersvermogen 9,601.8669,476.0859,121.1229,128.5998,965.5778,935.4538,886.5868,758.4228,572.3658,536.348,561.56,542.3555,047.1864,741.5214,477.4264,340.1384,266.5385,349.1945,253.1885,112.2934,953.1585,773.2575,829.5944,735.4374,519.2684,164.1732,780.4961,141.959925.8633.5150.3
Totaal eigen vermogen van aandeelhouders 11,085.82811,173.43910,954.94810,525.65110,315.50610,173.20410,242.46410,229.07810,470.36810,368.45610,507.2017,289.8135,669.0155,090.1865,047.3394,997.2945,062.5185,884.2225,395.345,072.5285,015.4415,197.1235,413.955,619.5475,504.9345,330.4473,689.9911,458.83884.5609.9146.5
Totaal eigen vermogen 11,578.37611,700.95211,686.18511,102.43711,007.92610,778.75510,840.81810,903.07611,263.13811,208.50911,208.347,925.4796,279.2615,592.1165,174.5135,315.7955,420.5646,295.6815,817.5235,608.115,616.375,808.4266,049.7726,232.1655,961.9135,761.8213,963.3951,609.4671,053.5787.3229.7
Totaal passiva en aandeelhoudersvermogen 20,034.56420,218.26221,169.24120,286.89121,172.76920,394.20920,570.59920,704.14823,157.32822,950.61422,834.54517,20116,659.30316,184.19415,417.51516,535.1115,689.77715,062.21914,098.94512,645.27511,466.89311,810.91712,235.62512,263.96611,715.68910,700.267,094.6312,986.1272,141.31,847.7535.9