Getty Realty Corp.

NYSE:GTY

31.3 (USD) • At close November 7, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200119991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 60.15190.04362.8669.38849.72347.70647.18638.41137.4123.41870.01112.44712.45651.747.04941.8133.89442.72545.44839.35236.88736.16368.73115.01410.0567.944-9.213.46.99.3-3.7-12.3-9.523
Afschrijvingen & Amortisatie 51.34145.30840.29334.08728.06422.82818.56718.60115.47810.52110.08713.41510.3369.73811.02711.0859.7947.8838.2557.498.4119.0169.28110.4259.41810.064-23.5-23.2-21.8-21.8-22.1-23-20.2-15.5
Uitgestelde Inkomstenbelasting 0.4720-12.4461.3113.1432.6928.4856.15315.83912.594-52.93422.97919.472-2.513-5.5490000000-36.4795.8740.491-1.061-113-1.6-0.43.43.72.41.9
Aandelen Gebaseerde Vergoedingen 5.5824.7753.9973.132.4681.7771.351.4261.090.9170.9710.7570.6430.480.390.326000000000000000000
Verandering in Werkkapitaal -10.011-32.959-7.826-25.08-6.071-10.825-19.421-28.159-21.707-18.17115.124-35.915-10.103-2.578-0.421-2.003-1.129-1.275-3.726-0.923-2.232-0.9614.079-12.3222.17-11.16916.6-20.97.2-7.538.3-19.712.56.4
Vorderingen -1.098-0.7840.06-1.048-0.74-0.814-1.295-2.382-1.546-0.7320.847-15.848-14.890.448-0.724-0.005-0.4650.4570.9393.0566.331-0.3742.7691.9155.9-0.7-332.93.25.22.27.83
Voorraden 000.55413.289-8.103-0.7080.4890.445-0.1893.934-0.201-8.0040.863-0.1921.0630.46800.0780.7961.039-1.9670.328-5.911-4.1730.39-2.4123.9-10.1-1.10.211.98.24.414
Crediteuren -0.471-2.122-0.554-13.2898.1031.9071.183-1.5823.513-5.00710.089-3.0545.905-0.0311.64-0.249-0.329-1.732-4.665-3.979-8.563-1.5471.31-14.237-3.7-10.515.1-13.86.4-3.418.8-31.17.1-7.8
Overig Werkkapitaal -8.442-30.053-7.886-24.032-5.331-11.21-19.798-24.64-23.485-16.368-15.611-9.009-1.981-2.803-2.4-2.217-0.335-0.078-0.796-1.0391.9670.6325.9114.173-0.422.4430.60-102.41-6.8-2.8
Overige Niet-Contante Posten -2.237-14.081-0.06-0.009-0.553-0.8320.5750.4421.578-0.0420.4192.20228.4260.0960.036-3.6341.957-3.482-4.42-4.003-4.631-7.881-9.378-3.255-6.0766.13846.946.343.644.541.941.539.230.6
Kasstroom uit Operationele Activiteiten 105.29893.08686.81882.82776.77463.34656.74236.87449.68829.23743.67815.88561.2356.92352.53247.58444.51645.85145.55741.91638.43536.33736.23415.73616.05911.91632.216.741.338.157.8-9.824.446.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -0.3090-0.271-0.282-0.014-3.794-0.434-0.298-219.526-17.238-67.174-4.148-168.245-4.725-56.94-6.579-172.852-28.614-29.573-30.568-14.266-2.821-0.536-25.141-31.584-15.236-25.6-23.1-22.8-19.5-16.3-22.7-42.5-54.4
Netto Overnames 310.9430169.694127.16682.88600000000000000000007.661000000000
Aankoop van Beleggingen -364.306-164.908-205.054-155.561-88.843-81.849-215.255-10.3-220.0660-6.267000000000000000000-7.30000
Verkoop/verval van Beleggingen 53.36326.67535.3628.3955.9576.4379.71923.83815.489001.7032.6790000001.3033.117000001.30000.58.56.519.4
Overige Investeringsactiviteiten -310.396-0.823-169.461-127.135-82.539-72.137-205.78313.01614.80240.74366.5945.996-28.0835.6816.7947.63788.82415.8642.5361.3661.15632.20116.3829.7817.6922.33.54.32.63.94.63.54
Kasstroom uit Investeringsactiviteiten -310.705-139.056-169.732-127.417-82.553-75.931-206.21712.718-204.72423.505-6.8473.551-193.6490.956-50.1461.058-84.028-12.75-27.037-27.899-9.9930.1791.665-8.759-14.142-7.544-22-19.6-18.5-24.2-11.9-9.6-32.5-31
Financieringsactiviteiten:
Schuldaflossingen -64.66-109.513-140.645-235.65-24.458-130.468-79.658-27.636-67.299-36.305-244.94-2.342-141.633000-0.194-0.03-10.285-0.335-0.079-0.074-48.972-6.049-5.284-11.66-10-18.3-33.7-11.4-39.9-8.9-12.9-3.1
Uitgifte van Gewone Aandelen 226.231-0.20792.28563.18714.1530.138117.8414.88626100491.986108.2050000.6960.3370.0641.2240131.5226.72907.20.50.20.20.20.20.2339.4
Terugkoop van Gewone Aandelen -1.004-0.496-0.73-0.257-0.115195-1.195-0.29-0.06500-0.018247.253000011.0310.2850.271-1.22400-0.6800.306000039.730-6.1-6.3
Uitgekeerde Dividenden -86.964-78.264-70.77-62.626-56.889-50.503-39.299-36.231-35.15-28.675-24.419-8.404-63.436-52.332-46.834-46.294-45.65-44.819-43.025-41.951-41.115-40.451-83.757-10.554-10.554-1.577-1.5000-0.5-2.9-4.8-3.8
Overige Financieringsactiviteiten -3.4790.005172.181313.32613.247-3.653117.938.26-2.6193.314227.687-3.494-0.175-110.6845.32-2.24186.232-0.039.71523.729-1.0690.2120.1083.5714.5460.008-0.1-0.89.90.9-37.9-0.1-0.1-7.4
Kasstroom uit Financieringsactiviteiten 199.44430.75852.32177.98-19.29940.514157.094-41.011155.867-61.666-41.672-10.258133.995-54.807-1.514-48.53540.388-33.153-32.973-18.222-42.263-40.313-1.099-6.983-11.292-5.723-11.1-18.9-23.6-10.3-38.418.39.1-11.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000000000
Netto Kasstroomverandering -5.963-15.212-30.59333.39-25.07827.9297.6198.5810.831-8.924-4.8419.1781.5763.0720.8720.1070.876-0.052-14.453-4.205-13.821-3.79736.8-0.006-9.375-1.351-0.9-21.8-0.83.67.5-1.114.2
Kaspositie aan het Einde van de Periode 5.28611.24926.46157.05423.66448.74220.81312.5233.9423.11112.03516.8767.6986.1223.052.1782.0711.1951.24715.719.90533.72637.5230.6510.65710.03418.919.841.542.338.831.132.231.2