Kilroy Realty Corporation

NYSE:KRC

41 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 510.163347.379414.077731.99160.04451.60457.649193.41856.50823.78135.37716.74.77714.849.8839.55311.73211.9483.8814.8539.89215.77716.48717.626.1166.4438.9290
Kortetermijnbeleggingen 284.6723.54727.47527.48127.09821.77920.67414.77312.88211.97110.0087.4355.6914.9023.4521.8880.70700000000000
Liquide middelen en kortetermijnbeleggingen 794.833370.926441.552759.47287.14273.38378.323208.19169.3935.75245.38524.13510.46819.74213.33511.44112.43911.9483.8814.8539.89215.77716.48717.626.1166.4438.9290
Nettovorderingen 474.588472.783420.051398.665364.426287.183263.317232.437200.857163.645137.866124.6388.3956.25813.9155.75372.17467.81960.80751.65941.72332.5432.15132.52122.07815.637.3673.042
Voorraad 995.283-9.52710.3391,323.127458.721-13.927-55.1089.417117.6668.211213.1-9.94984.1560140.8650000000000000
Overige vlottende activa -984.7519.5272.667-1,221.795-442.421133.35764.25767.48523.3495.5665.563257.4930.3581.4612.0590000000000000
Totaal vlottende activa 1,279.953843.709874.6091,259.469467.868479.996350.789506.756388.609282.793446.131396.317120.36327.461170.17417.19484.61379.76764.68856.51251.61548.31748.63850.12148.19422.07316.2963.042
Niet-vlottende activa:
Materiële vaste activa, netto 162.579126.53127.302138.8996.34836.83339.68640.39511.3243,989.6083,429.2333,191.2253,140.3432,544.4421,914.1071,939.2441,904.6241,601.4661,537.3741,480.6651,404.9141,407.7151,359.3291,291.1451,235.8111,048.847712.91117.669
Goodwill 0000000000000000000000000000
Immateriële activa 54.51470.42456.5414.6796.34831.47437.04758.04343.5460.72871.14883.324155.522131.06651.83253.53954.41849.01950.07451.25100000000
Goodwill en immateriële activa 54.51470.42456.5414.6796.34831.47437.04758.04343.5460.72871.14883.324155.522131.06651.83253.53954.41849.01950.07451.25100000000
Langetermijnbeleggingen 284.6723.54727.47527.48127.09821.77920.67414.77312.88211.97110.0087.4350000000000000000
Belastingvorderingen -284.67-23.547-27.475-27.4818,156.7717,142.7526,239.9366,016.058-11.324-3,989.608-3,429.233-3,191.2250000000000000000
Overige niet-vlottende activa 9,903.9999,756.3249,524.9468,587.67955.66152.873114.70670.6085,494.4385,278.2444,583.7414,129.00830.567113.596-51.832106.8109.678148.86787.02667.299107.72198.88797.9166.02484.6957.08144.74410.67
Totaal niet-vlottende activa 10,121.0929,953.2789,708.7888,741.2398,432.2267,285.7116,452.0496,199.8775,550.865,350.9434,664.8974,219.7673,326.4322,789.1041,914.1072,099.5832,068.721,799.3521,674.4741,599.2151,512.6351,506.6021,457.2291,457.1691,320.5011,105.928757.654128.339
Totaal activa 11,401.04510,796.98710,583.39710,000.7088,900.0947,765.7076,802.8386,706.6335,939.4695,633.7365,111.0284,616.0843,446.7952,816.5652,084.2812,099.5832,068.721,799.3521,674.4741,599.2151,512.6351,506.6021,457.2291,457.1691,320.5011,105.928757.654128.339
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 371.179392.36391.264445.1418.848374.415249.637202.391246.323225.83198.467154.73481.71368.52552.5330000000000006.641
Kortlopende schulden 929.718124.9945.5545.3425.13776.3093.5847.2869.734385.563168.3720-106.6981,427.776-49.75400000000002.200
Belastingschulden 0000000000000000000000000000
Uitgestelde opbrengsten 253.002277.391246.113197.397205.991209.871202.374202.44177.517181.602145.526155.558106.698108.51166.8976.21959.18725.35336.4121.60520.90424.31000000
Overige kortlopende verplichtingen -865.278-60.70956.29654.08948.082-28.7539.864215.0225.258-352.664-136.88228.92422.692-88.12618.230000000000000
Totaal kortlopende verplichtingen 688.621734.036699.227701.928678.058631.845495.459627.137458.832440.331375.483339.216104.4051,516.68687.89976.21959.18725.35336.4121.60520.90424.310002.206.641
Langlopende verplichtingen:
Langetermijnschulden 5,052.7314,387.994,194.34,021.4593,651.1782,932.6012,347.0632,320.1232,238.5082,469.4132,204.9382,040.9351,821.2861,427.776972.016773.466650.912879.198842.282801.441761.048762.037714.587723.688553.516405.383273.363223.297
Uitgestelde opbrengsten niet-vlottend 142.881158.522148.898197.397205.991209.871202.3740.0567.5430.05614.447093.06779.32266.8976.219000000000000
Uitgestelde belastingverplichtingen niet-vlottend -657.864-696.599-676.97497.778-884.0490-2,899.006-2,796.956-2,576.727-2,777.561-2,493.58200-1,354.13855.4080000000000000
Overige niet-vlottende verplichtingen 514.983538.077528.076-295.175678.058-209.8712,696.6322,796.9562,576.7272,777.5612,493.5820100.55529.18918.23491.827612.569132.592188.824111.09377.17883.89784.46865.32260.00344.14631.95618.819
Totaal niet-vlottende verplichtingen 5,052.7314,387.994,194.34,021.4593,651.1782,932.6012,347.0632,320.1792,246.0512,469.4692,219.3852,040.9352,014.908182.1491,112.5441,341.5121,263.4811,011.791,031.106912.534838.226845.934799.055789.01613.519449.529305.319242.116
Totaal passiva 5,741.3525,122.0264,893.5274,723.3874,329.2363,564.4462,842.5222,947.3162,704.8832,909.82,594.8682,380.1512,119.3131,698.8351,200.4431,341.5121,263.4811,011.791,031.106912.534838.226845.934799.055789.01613.519449.529305.319242.116
Eigen vermogen:
Preferente aandelen 221.1490283.663103.13358.46748.053122.685192.411192.411192.411192.411192.411121.582121.582121.582121.582121.582121.582121.582121.58238.4370000000
Gewone aandelen 1.1731.1691.1651.161.061.0070.9860.9320.9230.8630.8220.7490.5880.5230.4310.3310.3280.3240.2890.2860.2820.2730.2740.2650.2780.2760.2450
Ingehouden winsten 221.149265.118283.663-103.133-58.467-48.053-122.685-107.997-70.262-162.964-210.896-129.535-277.45-247.252-180.722-129.319-87.512-119.094-124.214-83.394-53.449-47.629-33.163-19.23-18.553-11.844-6.258-113.777
Overige gereserveerde algehele resultaten 0-00-103.133-58.467-48.053-122.685-192.411-192.411-192.411-192.411-192.411-121.582-121.582-121.582-121.582-121.582-121.582-121.5820.345-4.358-5.789-5.77800000
Overige totale aandeelhoudersvermogen 4,984.695,170.764,871.5695,131.9164,350.9173,976.9533,822.4923,650.063,240.3052,828.3112,671.3862,318.4161,570.5791,333.081,035.239785.053780.476793.066643.193513.873508.958493.116479.295460.39491.204487.467403.1630
Totaal eigen vermogen van aandeelhouders 5,428.1615,437.0475,440.065,029.9434,293.513,929.9073,700.7933,542.9953,170.9662,666.212,461.3122,189.631,293.7171,086.351854.948656.065693.292674.296519.268552.692489.87439.971440.628441.425472.929475.899397.15-113.777
Totaal eigen vermogen 5,659.6935,674.9615,689.875,277.3214,570.8584,201.2613,960.3163,759.3173,234.5862,723.9362,516.162,235.9331,327.4821,117.73883.838758.071805.239787.562643.368686.681674.409660.668658.174668.159706.982656.399452.335-113.777
Totaal passiva en aandeelhoudersvermogen 11,401.04510,796.98710,583.39710,000.7088,900.0947,765.7076,802.8386,706.6335,939.4695,633.7365,111.0284,616.0843,446.7952,816.5652,084.2812,099.5832,068.721,799.3521,674.4741,599.2151,512.6351,506.6021,457.2291,457.1691,320.5011,105.928757.654128.339