Medical Properties Trust, Inc.

NYSE:MPW

5.94 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 250.016235.668459.227549.8841,462.286820.868171.47283.24195.541144.54145.9837.311102.72698.40915.30711.74894.2154.10359.11697.544
Kortetermijnbeleggingen 431,691.323000000000000000000
Liquide middelen en kortetermijnbeleggingen 250.016235.668459.227549.8841,462.286820.868171.47283.24195.541144.54145.9837.311102.72698.40915.30711.74894.2154.10359.11697.544
Nettovorderingen 681.0461,182.042,113.4041,395.038910.42246.703264.562174.559129.094100.264104.32883.44663.855106.07247.38432.8433.96324.5814.8323.627
Voorraad -43-304.5161,243.97801,827.874-61.757-55.176-44.285-27.028-58.584-181.346-159.243000108.5230000
Overige vlottende activa -931.062304.516-1,243.978-1,086.554-1,827.87461.75755.17644.28527.02858.584181.346159.243023.058016.698-33.9634,102,844.317-44.6680
Totaal vlottende activa 1,397.3871,417.7082,572.6311,944.9222,372.7061,067.571436.034257.799324.635244.806150.308120.758166.581227.53962.691169.80994.2154,102,87329.28101.17
Niet-vlottende activa:
Materiële vaste activa, netto 299.93113,862.415201.2078.2349.8664,450.994,947.6163,728.9042,808.081,882.4491,630.731,088.3861,128.5691,121.2751,123.3371,141.631820.192651.068371.22150.212
Goodwill 012,467.944000000000000000022,629.6630
Immateriële activa 1,034.811,394.4711,417.8131,299.081622.056403.138443.134296.176256.95108.88590.4952.82443.09335.00448.58352.77243.38115,787,6155,1400
Goodwill en immateriële activa 1,034.8113,862.4151,417.8131,299.081622.056403.138443.134296.176256.95108.88590.4952.82443.09335.00448.58352.77243.38115,787,61527,769.6630
Langetermijnbeleggingen 3,302.0312,942.7751,181.0251,123.623926.99520.058288.398177.43129.33747.4510000000000
Belastingvorderingen 12,161.64119,658-201.207-8.234-9.8668,843.6439,020.2886,418.536-2,808.08-1,929.90000000000
Overige niet-vlottende activa 109.044-32,085.31315,348.33212,461.38810,545.579-6,441.757-6,115.182-4,460.3094,898.4293,393.6451,033.042916.918283.631-35.00475.287-52.77293.873-19,890,394.311-27,668.989-150.212
Totaal niet-vlottende activa 16,907.45718,240.29217,947.1714,884.09212,094.6257,776.0728,584.2546,160.7375,284.7163,502.532,754.2622,058.1281,455.2931,121.2751,247.2071,141.631957.446-4,102,128.243471.894150.212
Totaal activa 18,304.84419,65820,519.80116,829.01414,467.3318,843.6439,020.2886,418.5365,609.3513,747.3362,904.572,178.8861,621.8741,348.8141,309.8981,311.1961,051.661744.757501.174306.506
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 412.178621.324603.592387.45-107.911-28.059-840.81-290-1,100-593.49-105-1250346.83300005,080.0420
Kortlopende schulden 463.07929.5841,599.606165.407107.91128.059840.812901,100593.491051250369.970000529.9250
Belastingschulden 00000000000000000000
Uitgestelde opbrengsten 37.96227.72725.56336.17716.09813.46718.17819.93329.35827.20723.78720.60923.30723.13715.3516.1120.83914,615,609-5,609.9670
Overige kortlopende verplichtingen 1,051.35-929.584-1,595.406-114.107291.489204.325211.188207.711137.356112.62394.31165.96151.125-333.99629.24738.36337.161-14,615,556.144.40
Totaal kortlopende verplichtingen 1,964.56649.051633.355474.927307.587217.792229.366227.644166.714139.83118.09886.5774.432405.94444.59754.4735852.944.40
Langlopende verplichtingen:
Langetermijnschulden 9,610.58810,414.54211,440.7759,010.237,131.594,064.9134,955.7172,937.6643,335.3722,225.4591,442.2641,042.502689.84920.157593.726652.011480.525304.962100.48556
Uitgestelde opbrengsten niet-vlottend 37.96227.72725.56336.17716.09813.46718.17819.93329.35827.20723.78720.609023.1370020.83914.61610.9223.578
Uitgestelde belastingverplichtingen niet-vlottend -1,407.162-691.651-704.20693.624-124.009-40.991-75.228-48.256-42.189-51.011-44.37-37.9510-20.157000000
Overige niet-vlottende verplichtingen 465.031663.924678.643-129.801107.91127.52457.0528.32312.83123.80420.58317.34228.77820.157-0-13.645-20.86528.522-10.9070
Totaal niet-vlottende verplichtingen 8,706.41910,414.54211,440.7759,010.237,131.594,064.9134,955.7172,937.6643,335.3722,225.4591,442.2641,042.502718.62743.294593.726638.366480.5348.1100.559.578
Totaal passiva 10,670.97911,063.59312,074.139,485.1577,439.1774,282.7055,185.0833,165.3083,502.0862,365.2891,560.3621,129.072793.059449.238638.323692.596538.385399.984142.72373.778
Eigen vermogen:
Preferente aandelen 0116.2850083.0120.2020.04900000.4820.2310000000
Gewone aandelen 0.5990.5970.5970.5410.5180.3710.3640.3210.2370.1730.1610.1360.1110.110.0790.0650.0520.040.0390.026
Ingehouden winsten -971.809116.285-87.691-71.41183.012162.768-485.932-434.114-418.65-361.33-264.804-233.494-214.059-148.53-88.093-56.698-27.17-12.996-3.351-1.924
Overige gereserveerde algehele resultaten 42.501-59.184-36.727-51.324-62.905-58.202-26.049-92.903-72.884-21.914-8.941-12.482-12.231-3.641-60.302-40.334-22.713-10.759-5.26-1.312
Overige totale aandeelhoudersvermogen 8,560.3098,418.8558,564.0097,460.7266,924.414,441.9694,332.2014,209.1882,593.5651,765.1191,617.7921,295.1721,054.7631,051.523819.76715.324562.951367.437364.849234.938
Totaal eigen vermogen van aandeelhouders 7,631.68,592.8388,440.1887,338.5327,028.0474,547.1083,820.6333,248.3782,102.2681,382.0471,344.2081,049.814828.815899.462671.444618.357513.12343.721356.277231.728
Totaal eigen vermogen 7,633.8658,594.4078,445.6717,343.8577,028.1544,560.9383,835.2053,253.2282,107.2651,382.0471,344.2081,049.814828.815899.576671.575618.6513.198344.773358.451232.728
Totaal passiva en aandeelhoudersvermogen 18,304.84419,65820,519.80116,829.01414,467.3318,843.6439,020.2886,418.5365,609.3513,747.3362,904.572,178.8861,621.8741,348.8141,309.8981,311.1961,051.661744.757501.174306.506