Equity Residential

NYSE:EQR

70.54 (USD) • At close May 6, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,070.975868.488806.9951,396.714962.5011,009.708685.192628.3814,480.061908.018658.504-131.152332.926108.708-1.973382.029436.413989.6221,072.844861.793472.329543.847421.313473.585549.451393.9258.2176.6101.62467.734.46.1
Afschrijvingen & Amortisatie 966.739901.504894.325851.384832.443842.776790.117747.577709.075769.277762.0831,014.251684.992663.616673.403600.375602.908623.848596.106528.958496.583471.569478.194474.056453.569410.3299.7155.793.25376.139.322
Uitgestelde Inkomstenbelasting 00000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 31.28731.81529.51327.8123.17424.44927.13224.99730.5334.60727.54335.47424.83221.17718.87517.84322.31121.63122.080000000000000
Verandering in Werkkapitaal 39.1342.159-4.69229.726-74.04429.54125.649-12.911-40.569-33.57162.99115.289-33.637-10.036-4.207-34.507-32.29927.408-38.218-11.121-4.52-20.73542.178-83.86-60.22152.8-43-1.216.699-18.617.6-9.2
Vorderingen 0000000000000000000.4060.918-0.6282.23423.857-47.172-17.90741.3-23.4-45.2-0.409-13.6-10.4-1
Voorraden 00000000000000000000000000000000
Crediteuren 3.2498.911-0.26615.3810.475.116-1.86211.532-6.061-1.66717.7976.229-2.1020.332-5.454000-41.4184.82222.486-8.435-2.7685.242-12.20335.11.944.618.44.319.2-3.6
Overig Werkkapitaal 35.885-6.752-4.42614.345-74.51424.42527.511-24.443-34.508-31.90445.1949.06-31.535-10.3681.247-34.507-32.29927.4082.794-16.861-26.378-14.53421.089-41.93-30.1176.4-21.5-0.6-1.292-9.38.8-4.6
Overige Niet-Contante Posten -534.528-271.168-271.385-1,045.45-478.538-449.49-171.795-122.256-3,964.974-321.703-187.048-64.94637.04217.00239.939-294.928-274.081-869.381-897.346-681.099-257.331-250.362-53.42225.887-106.383-168.0327.2470-0.6461.32.76.7
Kasstroom uit Operationele Activiteiten 1,573.6071,532.7981,454.7561,260.1841,265.5361,456.9841,356.2951,265.7881,214.1231,356.6281,324.073868.9161,046.155800.467726.037670.812755.252793.128755.466698.531707.061744.319888.263889.668836.417788.97542.147331.1210.93126.59425.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2.766-1.851-4.05-1.696-20.1-4.955-4.505-1.506-5.731-3.991-5.286-4.134-8.821-7.11-2.991-632.119-1,082.019-2,420.629-2,275.275-2,675.643-1,170.733-809.111-531.423-98.706-34.318-774.4-1,083-1,250.4-676.363-0.1-5.2-0.4
Netto Overnames -109.721-47.872-159.701-79.791-5.775-9.604-6.571-6.034-5.266-23.019-15.768-4,067.346-5.291-2.0210-4.9593.014245.476-0.6993.19426.55320-40.113-297.794-625.796-18.274-50.13900000
Aankoop van Beleggingen 0-2.5-2.061-168.291-0.773-0.26900-5.266-23.019-15.768-66.471-5.291-2.0210-77.822-158.3670-1.072-1.48-406.524-14.038-105.758-142.565-1,420.661-998.025-1,016.29400000
Verkoop/verval van Beleggingen 15.0413.0423.584191.398000072.8152.5350.0574.87804.53725215.7530010.4714.21617.08414.13649.8620.655756.397329.3000000
Overige Investeringsactiviteiten -1,079.038-360.323270.02-376.24690.234-756.996-365.758-586.7565,847.39-648.32-607.9014,126.096-241.752-190.593-661.467604.376893.3441,974.5082,007.1032,077.512978.3411,123.041578.81595.839766.612934.5481,103.125-292.940.708-308.9-891.3-106.1
Kasstroom uit Investeringsactiviteiten -1,176.484-409.504107.792-434.62663.586-771.824-376.834-594.2965,903.942-695.814-644.666-6.977-261.155-197.208-639.458105.229-344.028-200.645-259.472-592.201-555.279334.028-48.62257.429-557.766-526.851-1,046.308-1,543.3-635.655-309-896.5-106.5
Financieringsactiviteiten:
Schuldaflossingen 723.522-86.542-929.337291.453-1,002.08174.326-161.913-29.874-1,962.239132.14861.62-681.904-1,311.461-363.632190.161-1,038.9631,018.9031,180.887408.32722.904474.489-59.571-159.175-328.814101.226207.3555.4362.8-11.8171.6278.7-271.4
Uitgifte van Gewone Aandelen 00139.6230000000001,417.04173.484329.45286.18407.1657.97263.14385.89674.72438.98974.40232.90439.9440.5545493.1672.7584.1378.7
Terugkoop van Gewone Aandelen -60.043-49.1050000000-16.206-1.7770-150.0230-2.764-1.124-12.548-1,221.855-83.355-125.069-0.024-400.638-115.004-212.723-0.294-6.3-94.7-22.47-11.498000
Uitgekeerde Dividenden -1,021.436-993.238-934.101-903.558-887.028-834.201-785.985-742.466-4,774.043-788.105-780.804-685.755-486.867-444.852-394.44-503.095-536.731-608.228-595.313-594.857-601.785-614.032-623.747-507.951-564.337-477.4-373.8-292.1-121.86-77.1-59.8-4.8
Overige Financieringsactiviteiten -40.5648.414-61.79747.049-57.285-24.599-16.012-17.478-317.81-10.2128.1-53.336-175.043-15.74628.255-16.549-40.885-159.898-62.169-292.171-76.432-454.46-2.432-156.903146.211-0.467-52.569482.5209.493248.75.5-7.7
Kasstroom uit Financieringsactiviteiten -376.952-1,120.471-1,785.612-565.056-1,946.393-684.474-963.91-789.818-7,054.092-666.167-692.861-1,420.995-556.331-650.746151.541-1,473.547428.739-801.929-324.545-101.007-117.856-1,058.643-861.369-919.266-283.996-236.967474.8311,098.2558.568175.9808.594.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000000
Netto Kasstroomverandering 20.1712.823-223.064260.508-17.2710.68615.551-118.32663.973-5.353-13.454-559.056228.669-47.487238.12-697.506839.963-209.446171.4495.32333.92619.704-21.72827.831-5.34525.1-29.3-114133.843-20-14.1-0.2
Kaspositie aan het Einde van de Periode 160.166139.995137.172360.23699.728116.999116.313100.762219.088155.11540.0853.534612.59383.921431.408193.288890.79450.831260.27788.82883.50549.57929.87551.60323.77229.1433.3147.271000