Essex Property Trust, Inc.

NYSE:ESS

293.4 (USD) • At close October 22, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 405.825432.985515.691599.332464.448413.599458.043438.41248.239134.438172.055139.5957.51650.78253.73965.354115.63862.74879.71679.69337.94752.87448.54544.47243.77831.04629.67712.32210.63.3
Afschrijvingen & Amortisatie 548.438539.319520.066525.497483.75479.884468.881441.682453.423360.592205.734182.33164.016129.711118.522110.86100.38983.03680.07572.92349.40937.23636.29530.76526.1521.94813.9928.8559.44.8
Uitgestelde Inkomstenbelasting -123.192-10.236-169.494-300.08-73.314-65.868-139.977-162.111-63.473-46.389-74.977-61.24-10.1390-0.897000000000000000
Aandelen Gebaseerde Vergoedingen 8.0317.2067.3088.1577.017.1359.28610.8996.0618.744.5084.1412.9273.2513.412000000000000000
Verandering in Werkkapitaal -1.651-2.45633.319-13.36337.508-0.173-24.134-1.123-7.47941.249-1.4944.514.0084.058-4.996-2.00613.6968.463-4.2016.595-5.033-13.506-3.383-2.1076.147-3.9473.018-0.747-16.2
Vorderingen 00000000000000002.4580.493-4.7624.753-2.769-2.3810.955-5.1030.2-9.9-1.6-2.3-0.63.5
Voorraden 000000000000000014.97.14809.506-8.301-12.327-3.427-3.0525.854-5.041.2034.85500
Crediteuren 5.335-17.26622.298-10.38229.551-0.145-15.1041.701-9.633000000011.2387.975.3761.842-2.264-11.125-4.3382.9965.95.94.41.50.1-0.4
Overig Werkkapitaal -6.98614.8111.021-2.9817.957-0.173-24.134-1.123-7.47941.249-1.4944.514.0084.058-4.996-2.006-14.9-7.148-4.815-9.5068.30112.3273.4273.052-5.8075.093-0.985-4.802-0.53.1
Overige Niet-Contante Posten 142.6138.831-1.631-16.435-0.323-8.023-5.948-15.234-19.361-5.647-0.844-1.832-1.757-12.2723.8077.033-38.8465.688-30.981-37.47320.9979.12617.41419.0347.4919.9870.211-0.295-2.4-2.2
Kasstroom uit Operationele Activiteiten 980.064975.649905.259803.108919.079826.554766.151712.523617.41492.983304.982267.499216.571175.53173.587181.241190.877159.935124.609121.738103.3285.7398.87192.16483.56659.03446.89820.13516.612.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -140.371-163.193-121.195-90.085-101.689-81.684-70.986-60.013-57.277-78.864-40.933-38.111-33.706-486.22-192.443-299.39-556.706-539.722-235.647-235.956-117.301-174.223-75.137-117.541-162.913-196.275-275.308-101.429-9.50
Netto Overnames -37.405-163.188-306.266-114.017-402.284-162.437-293.363-183.989-212.047-787.932-183.818-358.857-262.552-30.86238.17819.288218.069000-78.504000026.3540000
Aankoop van Beleggingen -20.78-18.109-23.805-83.379-46.458-37.952-67.893-18.779-14.3-20.516-16.442-73.735-8.048-49.974-120.096-100.108-7.77600000000-27.01-1.932000
Verkoop/verval van Beleggingen 64.3271.22216.577113.465147.53131.52135.48130.4588.9078.75324.17261.70332.998102.03939.64676.9125.75900000031.30263.426.402.41800
Overige Investeringsactiviteiten -10.904419.22637.292-242.884-124.791190.659-80.478-189.089-450.839-268.597-236.675-403.138-154.475-45.85115.75718.275-37.216226.846204.804110.89752.67388.50511.329-95.361-21.268-9.3714.19114.0154.5-94.8
Kasstroom uit Investeringsactiviteiten -145.14145.958-397.397-416.9-527.691-59.893-477.239-421.412-725.556-1,147.156-453.696-812.138-425.783-510.868-218.958-285.023-377.87-312.876-30.843-125.059-143.132-85.718-63.808-181.6-120.781-179.901-263.049-84.996-5-94.8
Financieringsactiviteiten:
Schuldaflossingen -1,198.548-1,730.178-1,762.833-2,009.635-2,910.829-1,152.359-90.821-1,018.126-1,197.351-279.386-218.161-1,371.317-1,435.135-888.042-361.063-731.327-1,544.78-266.965-389.363-287.359-269.992-120.877-215.172-203.004-229.771-283.065-164.58-110.305-17.2-138.4
Uitgifte van Gewone Aandelen 1,442.04619.5251,854.5912,506.09972.5391,047.947115.691,284.337332.137532.77138.366357.72323.931251.455198.511142.751217.99352.564.48967.563129.7073.3762.9063.3447.10174.698144.0370112.1
Terugkoop van Gewone Aandelen -96.004-190.04-9.627-269.611-56.989-52.152-0.316-75.1791,372.395001,748.496-103.81,218.981-111.974-23.788-32.644470.14-25-62.08-25.77-20.024-7.472351.194-7.10204.93191.2530128.9
Uitgekeerde Dividenden -586.976-565.924-542.86-536.098-507.754-484.182-450.625-411.134-367.257-260.574-180.668-156.25-138.622-123.629-117.102-109.49-97.639-80.446-76.263-72.719-68.377-55.603-49.987-42.424-38.634-35.074-25.046-12.009-10.5-4
Overige Financieringsactiviteiten -37.7891,329.053-72.536-74.0162,962.049-35.64649.277-35.771-31.71501.798111.106-28.2931,561.974-130.334415.75857.5891,644.357-27.023396.064353.792274.828195.238234.502-25.422315.42437.27215.725-5.19917.6-16.4
Kasstroom uit Financieringsactiviteiten -477.271-1,137.564-533.265-383.261-461.689-676.392-310.843-255.873108.214520.61148.599550.356208.348328.43124.122135.735187.287148.266-90.073-0.80340.3962.11-35.22383.68847.015119.133205.728107.777-10.182.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000004.005140.3530000000000000000-280-11.682.7
Netto Kasstroomverandering 357.653-15.957-25.4032.947-70.30190.269-20.30135.2384.0736.79-0.1155.717-0.864-6.907-21.24931.9530.294-4.6753.693-4.1240.5842.122-0.16-5.7489.8-1.734-38.42342.916-10.182.2
Kaspositie aan het Einde van de Periode 400.33442.68158.63884.04181.094151.39544.6264.92129.68325.28118.49118.60612.88913.75320.6641.9099.9569.66214.33710.6449.1468.5626.446.612.3482.5484.28246.899-7.785