Kilroy Realty Corporation

NYSE:KRC

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

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

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Operationele Activiteiten:
Nettowinst 238.288259.493658.91207.293215.229277.926180.615303.798238.60461.88632.31317.85667.48919.88638.01544.121113.82281.86433.81929.93949.61240.31238.43146.84639.89538.82221.558-6.828
Afschrijvingen & Amortisatie 356.302358.383311.284300.133273.813254.282245.886217.234204.294204.478201.487169.9136.597103.80987.65283.27586.42169.7567.82662.07159.83164.49554.10342.37733.79426.214.0239.111
Uitgestelde Inkomstenbelasting 11.5530-449.449-16.539-40.235-108.511-12.329-142.943-110.9848.6639.0127.628-45.6966.732.7770.048000000000000
Aandelen Gebaseerde Vergoedingen 36.85828.34733.830.24527.007-9.748-8.528-7.166-8.449-8.328-7.777-6.6994.4826.03112.25315.137000000000000
Verandering in Werkkapitaal -0.52135.83536.92324.4769.69940.415-11.83714.2844.4111735.52216.023-2.655-17.172-6.185-0.27617.586-74.29236.54212.278-22.445-14.9724.913-26.4266.777-1.365-10.9151.971
Vorderingen 0000000000000-3.03800-9.479-11.784-11.986-13.381-14.424-17.958-9.954-22.148-10.8-10.6-11.7-1.6
Voorraden 0000000000000-6.289000-80.81637.45115.412-17.67-16.8637.29200-0.432-2.678-0.739
Crediteuren 0000000000000-7.0734.3749.89518.272-62.50848.52825.659-8.0212.98614.8676.91313.29.24.53.5
Overig Werkkapitaal -0.52135.83536.92324.4769.69940.415-11.83714.2844.4111735.52216.023-2.655-0.772-10.559-10.1718.79380.816-37.451-15.41217.6716.863-7.292-11.1914.3770.467-1.0370.81
Overige Niet-Contante Posten -39.891-89.823-75.065-90.018-98.992-44.321-46.795-40.153-55.868-38.446-29.981-23.984-21.9610.543-9.5472.176-70.329-15.752-22.1853.7568.9485.7198.63511.2124.1699.7724.2621.266
Kasstroom uit Operationele Activiteiten 602.589592.235516.403455.59386.521410.043347.012345.054272.008245.253240.576180.724138.256119.827124.965144.481147.561.57116.002108.04495.94695.554106.08274.00984.63573.42928.9285.52
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -543.819-586.609-1,797.804-616.065-1,352.7-1,224.315-505.694-890.253-646.599-901.592-755.465-958.47-694.557-730.551-54.165-94.754-386.91-287.194-209.434-229.753-84.915-115.61-139.352-182.29-442.803-681.425-1,093.542-4.754
Netto Overnames 033.4161,049.92773.937124.421364.3182.492325.031319.639427.54421.178263.5720000386.910000-9.758000000
Aankoop van Beleggingen -256.581-586.609-1,797.804-616.065-1,352.7-1,224.315-505.694-962.368-581.3890000000-0.05200000000000
Verkoop/verval van Beleggingen 033.4161,048.92774.937124.421379.4182.492325.031316.6390000000.2590.25900000000000
Overige Investeringsactiviteiten -800.4553.193748.877541.1281,228.27951.1-35.9-70.21364.208-27.388227.767-11.60860.27428.7773.6910.67-245.009151.001133.752100.56734.07661.63765.94664.559250.008337.708541.5862.4
Kasstroom uit Investeringsactiviteiten -800.4-553.193-747.877-542.128-1,228.279-808.915-359.102-635.435-262.752-501.436-506.52-706.506-634.283-701.774-50.474-93.825-244.802-136.193-75.682-129.186-50.839-63.731-73.406-117.731-192.795-343.717-551.956-2.354
Financieringsactiviteiten:
Schuldaflossingen -668.641-5.555-317.446-590.137-986.309-955.407-919.395-379.14-226.99-675.345-288.688-955.262-654.665-913.344-469.156-82.932-228.286-14.084-52.659-218.825-108.329-208.214-26.603-48.733-22.867-2.979-226.549-19.091
Uitgifte van Gewone Aandelen 00450.19721.665353.722130.693326.05831.117401.971102.229349.951672.102233.312299.847191.672141.0210.029138.950.9712.05213.4524.2485.03210.40543.881.813543.70
Terugkoop van Gewone Aandelen -11.595-22.934-21.888-14.082-14.556-16.553-212.986-8.875-7.081-3.533-2.52-10.75-1.152-3.417-2.725-14.798-31.681-2.891-1.756-46.275-36.714-11.39853.502-41.266-49.171242-0.0220
Uitgekeerde Dividenden -255.43-247.556-237.355-224.578-196.252-179.411-348.106-150.694-140.089-131.713-124.767-111.551-95.201-84.42-87-95.269-91.785-85.964-80.825-67.355-63.057-61.609-57.317-54.15-53.597-48.843-21.702-5.218
Overige Financieringsactiviteiten -41.021157.299-38.074940.4561,590.4631,523.786983.188934.883397.631952.949350.645943.1661,003.671,288.238293.048-0.857448.80946.67992.977346.506143.656244.44-8.401-31.05209.668-4.189236.5321.143
Kasstroom uit Financieringsactiviteiten 360.595-118.746-164.573833.324747.068503.108-171.241427.29123.471244.587284.621537.705485.964586.904-74.161-52.83597.08682.69-41.29216.103-50.992-32.533-33.78935.206127.833267.802531.957-3.166
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 440.022000000000000000000000000000
Netto Kasstroomverandering 162.784-79.704-396.047746.786-94.69104.236-183.331136.9132.727-11.59618.67711.923-10.0634.9570.33-2.179-0.2168.067-0.972-5.039-5.885-0.71-1.113-8.51619.673-2.4868.9290
Kaspositie aan het Einde van de Periode 510.163347.379427.083823.1376.344171.03466.798193.41856.50823.78135.37716.74.77714.849.8839.55311.73211.9483.8814.8539.89215.77716.48717.626.1166.4438.9290