Highwoods Properties, Inc.

NYSE:HIW

33.04 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 151.33163.958323.31357.914141.683177.63191.663541.139101.26115.972131.09784.23547.97172.30361.69431.99290.74554.23862.45837.28423.8170.672131.925142.909144.062126.38783.29943.932246.9
Afschrijvingen & Amortisatie 300.546287.568257.352239.048253.999228.012226.66218.144216.043196.465183.055158.682143.146136.158116.819112.299109.546103.775110.851115.837111.856108.418124.108122.516115.1794.30349.78924.00612.73.3
Uitgestelde Inkomstenbelasting -59.5960-173.37-207.212-34.206-31.007-45.025-425.614-9.734-37.021-54.789-25.2314.462-15.4077.02100-1.35500-18.312000000000
Aandelen Gebaseerde Vergoedingen 6.9847.5528.6466.217.187.4666.6926.2516.8846.9396.8997.6136.0946.5726.567003.730021.39000000000
Verandering in Werkkapitaal -19.927-16.474-6.59-42.455-7.264-27.328-30.82-36.885-28.966-17.02-3.113-34.286-5.801-9.797-3.373-24.222-0.285-11.906-13.729-5.948-19.861-10.482-3.449-14.783-39.75320.474-12.181-0.63434.2
Vorderingen -25.057-40.376-16.356-36.139-33.099-21.444-37.208-20.844-21.341-24.799-19.173-14.787-8.498-3.290.336-1.876-9.089-9.413-17.759-6.888-5.682.357-13.787-12.662-10.1-20.9-18.8-5-3.3-0.8
Voorraden 00000-70.486-112.614-8.64-219.497-29.651-23.121-72.4931,808.5861,426.1311,404.5181,573.6140000000000-5.3332.14486.10
Crediteuren 3.87122.2178.191-5.95124.225-7.101-1.52-11.618-8.8918.39415.376-18.3716.7015.0122.957-15.9958.804-2.4934.030.94-14.181-12.83910.338-2.121-29.741.46.64.44.82.9
Overig Werkkapitaal 1.2591.6851.575-0.3651.6171.703120.5224.217220.76329.03623.80571.364-1,822.59-1,437.65-1,411.184-1,579.9650.28511.90613.7295.94819.86110.4823.44914.78339.8-20.55.352-2.178-84.62.1
Overige Niet-Contante Posten 7.625-20.8255.214.6554.4053.8553.3622.773.3921.576-6.7122.403-0.4760.7080.39237.753-38.343-2.957-5.44725.40934.37132.877-5.025.75813.47222.2699.2854.0133.5-1.2
Kasstroom uit Operationele Activiteiten 386.962421.779414.558358.16365.797358.628352.532305.805288.879266.911256.437193.416195.396190.537189.12157.822161.663145.525154.133172.582153.254201.485247.564256.4232.951263.433130.19271.31743.213.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -120.571-0.264-142.059-2.363-424.222-50.649-1.84-110.249-408.634-163.641-418.796-269.847-184.566-102.717-151.482-231.422-287.491-222.03-167.763-126.995-203.359-130.87-351.983-423.245-511.056-943.446-465.066-181.444-130.4-17.1
Netto Overnames -52.609-261.772-133.418-2.363-9.977-50.649-10.0630.34327.06-5.955-33.2478.29120.73711.75389.48491.9980000000729.945026.3470000
Aankoop van Beleggingen -14.463-0.024-211.356-160.644-126.088-150.31-161.007-185.914-139.095000-39.901-2.875-0.952-12.7410000-15.889-12.7040-757.966-701.076-27.648-6.666-1.13200
Verkoop/verval van Beleggingen 9.8880.288374.317484.621133.62190.125132.42686.51874.2490004.756153.9553.2142.918001.39900161.389729.945696.426.30000
Overige Investeringsactiviteiten 8.069-353.027-175.162-208.569-180.741-256.1-244.319313.796-272.583-158.58295.4422.744-16.5050.684-2.82914.608133.869286.764368.688173.784284.759339.16150.9497.533675.761-121.632-52.551-304.291-5.6-90.8
Kasstroom uit Investeringsactiviteiten -169.686-614.799-287.678110.682-607.407-306.749-256.222203.89-654.157-328.178-356.603-238.812-215.479-78.155-61.824-134.343-150.70464.734200.92548.18865.511195.587-139.645286.212160.029-1,040.079-524.283-486.867-136-107.9
Financieringsactiviteiten:
Schuldaflossingen -17.626-815.444-663.78-74.588-460.114-713.703-1,367.853-544.993-407.158-690.806-905.443-1,083.946-539.197-35.081-480.545-700.242-648.383-769.051-299.85-492.062-561.638-477.113-543.132-947.971-1,053.602-1,032.175-803.696-452.298-235.9-113.9
Uitgifte van Gewone Aandelen 1.5157.5723.9173.3562.0863.63776.268260.796129.301117.716316.081249.48923.272.998150.941209.9847.06769.2871.653.2721.97610.621.4240.07417.551198.439345.325406.6219.8164.4
Terugkoop van Gewone Aandelen -1.488-5.919-1.723-1.16-1.788-1.692-4.036-4.416-3.764-3.616-2.557-2.721-52.51547.868349.399-55.792-27.468-76.482-141.318-1.165-19.072-4.832-167.288-101.138-25.4751,798.2640-0.005141.162.7
Uitgekeerde Dividenden -213.508-212.669-206.668-201.819-199.423-193.794-264.502-169.362-162.843-156.672-148.472-131.16-127.298-128.351-121.137-116.761-117.195-118.846-128.721-132.495-142.656-172.028-174.389-184.47-186.668-166.983-100.117-55.515-29.8-5
Overige Financieringsactiviteiten -8.0561,214.389563.328-16.773-12.694775.4831,417.595253.53120.931793.293836.9581,016.329712.805-9.309-16.012649.949761.47700.311189.911404.466510.172256.722671.262761.177858.2650.4951.655521-1.8-7.7
Kasstroom uit Financieringsactiviteiten -205.426187.927-284.926-294.34246.209-130.069-142.528-465.241361.48259.91596.56747.99117.065-121.875-117.354-12.862-24.509-194.781-378.328-217.984-211.218-386.631-212.123-472.328-389.929797.945393.167419.78293.4100.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6.386000000000000000000000000000094.7
Netto Kasstroomverandering 5.464-5.093-158.046174.5024.599-78.19-46.21844.454-3.796-1.352-3.5992.595-3.018-9.4939.94210.617-13.5515.478-23.272.7867.54710.441-104.20470.2843.05121.299-0.9244.2320.6100.5
Kaspositie aan het Einde van de Periode 31.56926.10531.198189.24414.74210.1433.27249.495.0368.83210.18413.78311.18814.20623.69913.7573.1416.691.21224.48218.56411.0170.576104.7834.49631.44510.14611.076.9100.5