Annaly Capital Management, Inc.

NYSE:NLY

20.45 (USD) • At close September 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -1,638.4571,726.422,396.28-889.772-2,163.09154.1481,569.0161,432.786465.747-842.2793,729.6981,735.9344.4611,267.281,961.471346.18414.38493.816-9.247248.592180.103219.50792.27816.58718.13915.54.9
Afschrijvingen & Amortisatie 24.80620.50624.63641.35731.55972.36426.5534.76119.974.5952.6144.082.31.62.3164.13366.55165.214154.88179.732216.57106.19836.8652.6476.1268.22.6
Uitgestelde Inkomstenbelasting -17.3-19.40000140.88108.971980.2981,890.568-1,609.6181,296.438195.6669,268.873154.807000000000000
Aandelen Gebaseerde Vergoedingen 17.3000001.4067.0471.1561.0722.5475.5845.2694.7574.514000000000000
Verandering in Werkkapitaal -694.481-223.074-33.89592.009-188.586188.89827.49-33.367.32616.876134.43240.87-49.497-1.5599,044.124-122.66978.506-10.1612.018-5.376-2.575-3.98-26.561-2.9551.571-1.6-0.2
Vorderingen -585.817-403.61332.926159.32-85.951-19.563-52.20227.71247.893-21.376141.207-2.879000000000000000
Voorraden 2,638.90300000-58.715-110.4170-6.2214.7880000000000000000
Crediteuren -37.343233.753-99.59-285.219-94.593295.64138.42349.357-26.6335.876-22.06651.17223.199-0.819-108.9000000000000
Overig Werkkapitaal -2,710.224-53.21432.769217.908-8.042-87.179-0.016-0.012-13.9378.5960.503-7.423-72.696-0.749,153.024000000000000
Overige Niet-Contante Posten 4,675.3353,848.559689.8181,284.3731,120.5612,306.6085,166.8975,305.658-4,641.5165,057.636-15,152.3954,556.6351,921.864322.159-349.521881.939-34.05772.76133.878-6.031-39.179-19.619-2.811-2.025-0.455-3.3-0.8
Kasstroom uit Operationele Activiteiten 2,367.2035,372.4113,076.839527.967-1,199.5572,622.0186,932.2396,855.863-3,167.0196,128.468-12,892.7227,639.5072,420.06310,863.1110,817.7111,109.583525.384221.629281.529416.917354.919302.10699.77114.25325.38118.86.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -396.806-1,014.262-538.142-32,676.8560-0.381-11.493-174.16700067,468.508-3.55500000000000000
Netto Overnames 396.80601,118.446.2640-258.3345.45141.69800-708.68-0.8-3.9900000000000000
Aankoop van Beleggingen -41,036.338-45,474.466-22,344.751-32,676.856-64,093.918-45,439.258-102.35-243.569-583.611-38,817.432-984.743-86,161.777-69,122.569-25,463.748-25,150.429-26,382.213-33,143.252-23,196.076-7,416.869-14,397.323-13,140.073-11,079.561-8,194.215-952.738-559.696-1,420.6-1,310.4
Verkoop/verval van Beleggingen 37,413.234,596.96530,420.22972,211.25425,707.07333,406.947226.59296.553206.63322,654.547122.46414.42744,026.76211,394.77417,826.0724,110.5111,679.3158,156.67710,415.0867,937.87311,935.9916,805.4662,934.686658.326485.211,054.9254.5
Overige Investeringsactiviteiten -4,792.752-2,635.307-3,756.49733,487.96817,745.17411,382.606-14,784.148-1,782.66412,045.8938,360.00839,119.177-13.387-16.335223.221-13.6500002.5260000000.1
Kasstroom uit Investeringsactiviteiten -8,415.89-14,527.074,899.27940,351.774-20,641.671-908.42-14,665.948-2,062.14911,668.915-7,802.87737,548.218-18,693.029-25,119.687-13,845.753-7,338.009-2,271.703-21,463.937-15,039.3992,998.217-6,456.924-1,204.082-4,274.095-5,259.529-294.411-74.486-365.7-1,055.8
Financieringsactiviteiten:
Schuldaflossingen -2,673.952-3,266.963-7,063.751-1,299.942-22,283.137-261.365-11,395.136-805.157-7,155.477-0.356-22,942.011-617.47600000-278,481.088-248,646.126-147,045.071-116,217.261-83,668.862-45,033.275-13,906.89-11,144.874-11,144.9-2,579.7
Uitgifte van Gewone Aandelen 673.6932,6362,400.0361.1751,829.0251,532.3562,344.516-2,892.526000-0.2485,351.84600000000000000
Terugkoop van Gewone Aandelen 9,420.553-1,973.666-2.83-669.418-223.574-412.5-185.312-102.712-114.260-141.149-256.149000000000000000
Uitgekeerde Dividenden -1,517.762-1,519.249-1,359.721-1,475.65-1,689.016-1,540.886-1,353.172-1,220.931-1,209.25-1,208.984-1,640.748-2,149.872-2,041.489-1,599.339-1,269.42-975.068-263.671-95.534-189.998-230.131-191.595-201.999-56.105-17.456-17.082-14.4-1.9
Overige Financieringsactiviteiten -18.41113,513.161548.571-38,042.9321,585.6611,117.8132,158.588-1.95.1054,072.5575.05913,698.85820,100.8393,360.04-1,615.0672,942.58121,214.402293,481.366245,555.333153,320.815117,257.5487,843.14750,249.45314,204.54511,211.06411,505.73,631.4
Kasstroom uit Financieringsactiviteiten 5,884.1219,389.283-7,877.731-41,486.76721,956.208-684.43812,200.552-5,023.226-8,473.8822,863.217-24,718.84910,675.11323,411.1961,760.701-2,884.4871,967.51320,950.73114,904.744-3,280.7916,045.613848.6843,972.2865,160.074280.19949.108346.41,049.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000
Netto Kasstroomverandering -164.566234.62498.387-607.026114.981,029.16-833.157-229.51228.0141,188.808-63.353-378.409711.572-1,221.942595.215805.39312.17886.974-1.0455.606-0.4790.2970.3160.0410.003-0.50.5
Kaspositie aan het Einde van de Periode 1,412.1481,576.7141,342.091,243.7031,850.7291,735.749706.5891,539.7461,769.2581,741.244552.436615.789994.198282.6261,504.568909.353103.9691.7824.8085.8530.2470.7260.4290.1130.07200.5