First Industrial Realty Trust, Inc.

NYSE:FR

51.04 (USD) • At close December 26, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 43.844133.24458.591162.0921.1243.10221.1469.8593.9879.57.5774.93810.15325.963182.9433.1825.75716.1358.2374.9240.821007.7312.60921.82313.2227.64600
Kortetermijnbeleggingen 08.8220000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 43.844133.24458.591162.0921.1243.10221.1469.8593.9879.57.5774.93810.15325.963182.9433.1825.75716.1358.2374.9240.821007.7312.60921.82313.2227.64600
Nettovorderingen 155.026130.053103.83190.28186.23276.26475.12772.13967.94765.48662.12259.1593.0623.0642.24310.41442.3336.85333.80725.322.90624.85527.39824.58327.06124.50116.42412.95700
Voorraad 011.874318.84715.66300000006.765000000000000000000
Overige vlottende activa 011.87400314.429108.461108.48290.9995.19666.573228.410123.4280.1170.1020.109170.946128.168153.896135127.738152.70781.65486.12190.81673.36247.54715.0200
Totaal vlottende activa 198.87475.271318.658424.922421.781227.827204.755172.988167.13141.559183.904173.79913.21529.144185.28813.70515.42224.14917.13411.9123.72724.85527.39832.31429.6746.32429.64620.60300
Niet-vlottende activa:
Materiële vaste activa, netto 24.21124.5824.92725.20524.8772,861.862,705.8262,588.4222,502.6382,396.3912,371.5032,388.8132,425.0262,109.1332,724.8692,883.6062,854.1622,870.2712,867.0352,530.8812,391.5482,395.8212,468.8572,457.5312,386.1362,407.1471,873.316959.322688.8620.3
Goodwill 000000000000000000000000000000
Immateriële activa 21.51824.0921.31625.21128.53329.67830.48129.49933.32633.52629.7933.1938.03739.71860.1690.34287.01986.26578.53700000000000
Goodwill en immateriële activa 21.51824.0921.31625.21128.53329.67830.48129.49933.32633.52629.7933.1938.03739.71860.1690.34287.01986.26578.53700000000000
Langetermijnbeleggingen 44.6638.82236.04945.69718.20823.326-5,646.888-5,381.68500.0710.9071.0121.6742.45146.09316.29957.54355.52744.2415.48913.18612.5459.016.1586.4084.4580000
Belastingvorderingen 04,954.322-21.316-25.211-28.5333,142.6912,941.0622,793.2630-2,396.391-2,371.503-2,388.813-38.037177.3170000000000000000
Overige niet-vlottende activa 4,860.701-532.7633,799.4643,296.1143,053.962-3,142.6912,705.8262,590.77614.9572,406.8392,382.9092,400.841226.742392.291188.176219.924-2,911.705-2,925.798-2,911.276-2,536.37-2,404.734-2,408.366-2,477.867-2,463.689-2,392.544-2,411.605-1,873.316-959.322-688.8-620.3
Totaal niet-vlottende activa 4,951.0934,479.0513,860.443,367.0163,097.0472,914.8642,736.3072,620.2752,550.9212,440.4362,413.6062,435.0432,653.4422,720.913,019.2983,210.17187.01986.26578.5372,536.372,404.7342,408.3662,477.8672,463.6892,392.5442,411.6051,873.316959.32200
Totaal activa 5,175.7654,954.3224,179.0983,791.9383,518.8283,142.6912,941.0622,793.2632,718.0512,581.9952,597.512,608.8422,666.6572,750.0543,204.5863,223.8763,258.0333,224.3993,226.2432,713.1932,648.0232,629.9732,621.42,618.4932,526.9632,554.4622,272.1631,022.6753.9691.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 130.802194.031153.096106.292111.44878.66586.53284.41293.69979.73375.30580.64771.47080.684128.828146.308196.953167.869129.634122.902132.796340.99365.911277.897316.25580.971414.85600
Kortlopende schulden 3.6250.320261.8911580000081.149074.51800000000000000000
Belastingschulden 000000000000000000000000000000
Uitgestelde opbrengsten 0100.16698.588-261.8910-1,297.78300000-1.278000000000000000000
Overige kortlopende verplichtingen 44.201-74.37937.178-227.749-127.43328.84527.01623.43467.31211.94910.28998.452-74.51867.32651.32370.781-146.308-196.953-167.869-129.634-122.902-132.796-340.99-365.911-277.897-316.25-580.971-414.85600
Totaal kortlopende verplichtingen 178.628363.138269.274153.995303.204107.51258.048297.346161.011276.682258.594179.09971.4767.326132.007199.609387.4366.7369292.8305.1305.5307.3338.7320.1307.823883.600
Langlopende verplichtingen:
Langetermijnschulden 2,245.9622,088.2471,632.6121,617.4671,486.1211,297.7831,131.5481,178.1781,434.1681,164.8461,215.6571,237.7661,404.9651,742.7821,998.3322,036.9781,946.671,756.7321,813.7021,574.9291,453.7981,442.1491,048.491948.781948.688948.5951,050.2392.1351.7300
Uitgestelde opbrengsten niet-vlottend 0100.16698.58862.09257.53447.92744.28543.340.15336.91430.26530.802000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 022.26622.59222.82622.3699.5610.35510.40000000000000000000000
Overige niet-vlottende verplichtingen 116.07-142.68-69.74824.625-126.29457.48775.58933.1147.737-24.188-78.225-15.28117.62747.80200.541-1,946.67-1,756.732-1,813.702-1,574.929-1,453.798-1,442.149-1,048.491-948.781-948.688-948.595-1,050.2-392.1-351.7-300
Totaal niet-vlottende verplichtingen 2,362.0322,060.8851,661.4521,690.6231,417.3611,355.271,207.1371,211.2921,441.9051,214.4861,167.6971,284.091,522.5921,790.5841,998.3322,037.5191,946.71,834.71,813.71,574.91,453.81,442.11,318.51,221.41,147.61,191.91,179.6406.4351.7300
Totaal passiva 2,540.662,424.0231,930.7261,844.6181,720.5651,462.781,465.1851,508.6381,602.9161,491.1681,426.2911,463.1891,594.0621,857.912,130.3392,237.1282,183.7552,048.8732,020.3611,710.7661,591.7321,575.5861,447.3611,373.2881,276.7631,310.5181,266.079447.178427374.9
Eigen vermogen:
Preferente aandelen 023.1310000000000000122.54800000.0010.0010.0010.0180.0180.0180.0170.01700
Gewone aandelen 1.3231.3211.3171.291.271.2631.1991.1721.1111.1491.1431.0310.9110.7320.6620.490.480.4750.470.4540.4240.4110.4030.3920.3820.3790.3640.29900
Ingehouden winsten 127.70723.131-178.293-306.294-370.835-490.807-541.847-641.859-674.759-670.65-669.896-657.567-633.854-606.511-384.013-366.962-281.587-284.955-248.686-203.417-172.892-158.251-143.958-126.962-114.451-114.205-76.996-51.764-33.1-9
Overige gereserveerde algehele resultaten 22.27233.412-4.238-16.953-6.8833.5021.338-4.643-9.667-13.867-3.265-6.557-11.712-15.339-18.408-19.668-9.63-10.264-5.521-3.7-10.11-10.559-12.381-219.701-211.456-175.886-121.03-91.45700
Overige totale aandeelhoudersvermogen 2,411.6732,401.3342,376.0262,224.6912,140.8472,131.5561,967.111,886.7711,756.4151,751.0591,798.8681,766.4721,671.3311,467.9961,411.21,258.0061,214.6561,317.7231,297.2991,052.1571,071.751,050.7241,151.5321,184.9241,173.2771,168.5841,052.239584.045339.1301.4
Totaal eigen vermogen van aandeelhouders 2,562.9752,530.2992,248.3721,947.321,798.2631,645.5141,427.81,241.4411,073.11,048.951,126.851,103.3791,026.676846.8781,009.441986.748923.9191,022.9791,043.562845.494889.173882.326995.5971,058.3721,059.2261,054.776854.59532.561306292.4
Totaal eigen vermogen 2,635.1052,601.42,301.9321,991.9061,832.1271,679.9111,475.8771,284.6251,115.1351,090.8271,171.2191,145.6531,072.595892.1441,074.2471,109.2961,074.2781,175.5261,205.8821,002.4271,056.2911,054.3871,174.0391,245.2051,250.21,243.9441,006.084575.422326.9316.2
Totaal passiva en aandeelhoudersvermogen 5,175.7654,954.3224,179.0983,791.9383,518.8283,142.6912,941.0622,793.2632,718.0512,581.9952,597.512,608.8422,666.6572,750.0543,204.5863,223.8763,258.0333,224.3993,226.2432,713.1932,648.0232,629.9732,621.42,618.4932,526.9632,554.4622,272.1631,022.6753.9691.1