National Health Investors, Inc.

NYSE:NHI

79.64 (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 134.38165.501111.967185.311160.449154.333159.365152.716150.314103.052107.18290.89881.13269.42164.22957.5196.43569.22854.40856.37943.80830.787-0.06333.72453.61869.64575.38867.16449.738.924.413.32.1
Afschrijvingen & Amortisatie 69.97370.8880.79883.1576.81675.78672.96363.12856.63540.68920.90516.98111.99211.2038.6217.94311.72511.80912.60314.45315.3816.38314.65814.17211.4858.9558.0366.8326.15.35.24.71.2
Uitgestelde Inkomstenbelasting -15.2030-29.041-14.2660.8235.853-7.874-18.842-23.3790.561-20.19-14.236-14.329-1.996-2.2894.06600000000000000000
Aandelen Gebaseerde Vergoedingen 4.6058.6138.4153.0613.6462.492.6121.7322.1342.022.3392.1683.0872.3680.8530.00700000000000000000
Verandering in Werkkapitaal 3.287-2.697-0.438-6.73818.7-0.571-2.4612.3973.755-3.7163.773-1.276-1.1510.417-2.045-2.78-3.334-9.123-5.168-4.6033.5836.21315.8259.077-11.4058.0377.9749.526-1.296.6-22
Vorderingen 000000000000-0.7130.086-0.4550.167-0.822-3.609-3.339-2.5211.264-1.343-1.048-2.437-9.62.80.21.60.13.42.10.3-2.2
Voorraden 00000000000000-48.50100.617-6.066-93.063-119.257-45.6651.80833.76534.34731.99539.03739.474000000
Crediteuren 5.9290.4253.352-6.6810.34.5871.6072.7641.0381.4482.495-0.5120.0950.634-1.6050-2.512-5.514-1.316-0.1241.1883.0298.855.8675.50.56.10-0.71.11.2-1.33.2
Overig Werkkapitaal -2.642-3.122-3.79-0.05718.4-5.158-4.068-0.3672.717-5.1641.278-0.764-0.533-0.30348.516-2.947-0.6176.06692.55117.29946.7962.719-25.742-28.7-39.3-34.3-37.87.926-0.64.53.3-11
Overige Niet-Contante Posten -12.59343.04339.158-18.37-19.479-30.022-27.28-23.912-25.034-16.463-9.816-8.269-3.877-3.869-0.1570.388-38.297-14.109-2.833-9.1375.26212.70629.3436.63719.735-1.709-1.462-6.8090.6-4.6-3.34.6-0.8
Kasstroom uit Operationele Activiteiten 184.45185.34210.859232.148240.955207.869197.325177.219164.425126.143104.19386.26676.85477.54469.21267.13466.52957.80559.0157.09268.03366.08959.76363.6173.43384.92889.93676.71355.248.632.920.64.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3.743-4.629-0.064-13.854-17.999-147.645-175.343-367.014-114.52-535.771-633.7180-75.806-98.736-81.569-4.048-2.491-2.499-12.264-1.678-10.009-16.568-1.941-3.202-14.318-40.724-23.848-67.892-11.1-10.1-15.4-8.30
Netto Overnames 2.97311.738-187.537-0.8750.64300-17114.5200-8.30906.24700-1424.21514.4524.3890000000000000
Aankoop van Beleggingen -77.449-86.165-119.117-162.101-327.419-238.749-217.758-483.41-8.4580000-12.422-4.7750-361.463-11.063-22.079-1.02400-23.74-41.459-55.336-135.777-115.876-153.084000-74-73.8
Verkoop/verval van Beleggingen 70.496288.17306.65486.2432.8974.34618.18259.60757.406000.12512.8629.55730.89156.179347.25416.85314.810.8230.4056.27917.92213.115000000052.80
Overige Investeringsactiviteiten -3.907-11.169185.3410.875-0.643-102.645-6.685-22.431-185.274-4.5457.894-91.6267.473.3250.1750.04252.13119.6645.42453.23274.32633.51749.62360.7316.28797.763188.907105.0610.4-203.5-158.10-25.3
Kasstroom uit Investeringsactiviteiten -11.63197.945185.277-89.712-342.521-250.29-163.846-329.838-136.326-540.316-625.824-99.81-55.474-92.029-55.27852.17321.43147.170.33365.74264.72223.22841.86429.184-53.367-78.73849.183-115.915-10.7-213.6-173.5-29.5-99.1
Financieringsactiviteiten:
Schuldaflossingen -576.427-318.388-752.392-54.271-23.655-131.871-311.743-198.233-0.742-246.492-99.655-33.3-500-3.987-5.525-103.98-3.76-37.18-7.669-8.773-3.414-97.464-35.033-4.462-4.343-255.105-179.513-226.4-112.5-27.6-3-4.5
Uitgifte van Gewone Aandelen 0047.90434.64995.77481.784122.237104.19149.114270.798282.5420000000.3572.351.5910.4520.5229.63302-0.72.665.70.60.19.70
Terugkoop van Gewone Aandelen 0-151.951491.784-2.705-1.559-1.835250-1.133403.0850330.1460000-3.6210-3.7310-0.5789.110.713-4.768-30-33.252251.756566.803163.8318.6194.900
Uitgekeerde Dividenden -156.238-161.771-182.9-194.584-179.739-165.391-153.04-138.303-124.657-100.65-85.145-78.925-67.893-66.517-64.549-85.52-67.439-52.545-53.259-48.65-43.002-41.105-1.881-51.058-73.761-75.759-73.577-64.484-44.1-38.1-26.5-16.90
Overige Financieringsactiviteiten 562.946230.856-7.3931.256216.50279.61357.49485.368-344.9260.30695.88385.755109.73537.9480.0780.2450000-39.917-16.574-40.7923.82354.47360.6560.022-284.926-1.4-5.2-4.218105.7
Kasstroom uit Financieringsactiviteiten -169.719-401.254-402.994-111.762107.32344.258-35.052144.165-18.1406.148523.7716.83-8.158-28.569-68.458-94.421-171.419-59.679-88.089-55.306-82.13-59.858-135.273-62.268-23.75-50.698-77.60440.48-42.4163.4136.77.8101.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000000
Netto Kasstroomverandering 3.101-17.969-6.85830.6745.7571.837-1.573-8.4549.999-8.0252.14-6.71413.222-43.054-54.52424.886-83.45945.296-28.74667.52850.62529.459-33.64630.526-3.684-44.50861.5151.2782.1-1.6-3.9-1.16.6
Kaspositie aan het Einde van de Periode 24.61721.51639.48546.34315.6699.9123.0634.83213.2863.28711.3129.17215.8862.66445.718100.24275.356177.765132.469161.21593.68743.06213.60347.24916.72320.40764.9153.42.101.65.56.6