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NYSE:PSA

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Operationele Activiteiten:
Nettowinst 2,160.124,366.2741,959.6391,361.2271,525.6511,717.2231,448.4651,460.4391,317.6891,149.9551,057.531943.035836.459696.114790.456935.176457.535314.026456.393368.014336.989329.386324.208297.088287.9227178.6153.570.442.12815.1121211.511.610.510
Afschrijvingen & Amortisatie 970.056888.146713.428553.257512.918483.646454.526433.314426.008437.114387.402358.103358.525354.386342.127414.201622.41437.984196.397183.148213.528206.712193.157148.967157.44121.36691.35664.87540.64727.58124.214.38.93.61.921.91.4
Uitgestelde Inkomstenbelasting 35.497-6.156-12.86500000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 41.56656.70359.81533.36325.83369.93637.54837.48331.4728.34128.41324.312000-22.9830000000000000000000000
Verandering in Werkkapitaal 18.901-2,193.98212.865000000000000000000000000000.6950000.6-0.285-1.1
Vorderingen 0000000000000000000000000000000000.40000
Voorraden 00000000000000000000000000000000000000
Crediteuren 000000000000000000000000000000000-0.1-0.1000
Overig Werkkapitaal 18.901-2,193.98212.8650000000000000000000000000000000.3-0.185-1.1
Overige Niet-Contante Posten 20.5086.156-189.32795.0553.241-209.30235.1414.1-11.09619.689-14.594-15.4798.46842.721-19.726-267.139-66.74139.6939.25896.28143.91352.86321.16956.39513.83720.30923.20726.86212.4198.8047.33.12.1-0.7-1.2-8.5-2.72.3
Kasstroom uit Operationele Activiteiten 3,246.6483,117.1412,543.5552,042.9022,067.6432,061.5031,975.6791,945.3361,732.6011,606.7581,430.3391,285.6591,203.4521,093.2211,112.8571,059.2551,013.204791.7692.048647.443594.43588.961538.534502.45459.177368.675293.163245.237123.46679.1859.532.52315.51213.114.712.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -461.137-459.773-270.238-169.998-187.312-478.869-460.678-351.351-294.072-230.183-172.646-77.905-69.777-77.5-76.517-182.53-266.423-198.974-366.687-175.662-132.603-158.22-223.271-95.961-164.71-156.91-100.342-218.77-119.687-101.338-73.3-11.7-1.3-2.1-1.7000
Netto Overnames -2,178.1512,636.0111.7592.596-30.8521.72-11.9413.47-3.930-105.040-1.27423.539-18.575562.51-1.663-134.237-254.54900-139.68-6.2760000-377.409-733.1000000000
Aankoop van Beleggingen 461.137-1,071.455-5,329.087-981.679-722.44-519.822-623.758-686.094-405.5540-1,222.213069.777-104.8280-54.7028.7080-6.361-33.784-35.118-33.956-99.357-86.546-108.2500-4.29200-1.60000000
Verkoop/verval van Beleggingen 39.986508.69416.2960.3030.42116.2814.6820.30915.0132.5810.25720.021322.48477.50-74.0846.06613.0747.452034.88315.2090000000000000000
Overige Investeringsactiviteiten -1,400.337-493.48117.75931.06442.823-51.19-283.858-365.684-146.03314.60687.249-232.581-402.565-185.3163.68388.8245.837-167.359176.48921.029-95.338-6.81722.846-264.996-175.569-188.864-307.971120.845604.115-68.252-64.1-8.3-4.7-6.13.30.1-3.2-70.8
Kasstroom uit Investeringsactiviteiten -3,538.5021,119.996-5,563.511-1,117.714-897.36-513.778-739.854-716.726-440.105-212.996-1,412.393-290.465-81.355-266.605-91.409340.018-247.475-487.496-443.656-188.417-228.176-323.464-306.058-447.503-448.529-345.774-408.313-479.626-248.672-169.59-139-20-6-8.21.60.1-3.2-70.8
Financieringsactiviteiten:
Schuldaflossingen -8.259-513.495-2.218-543.131-1.92-1.784-1.701-36.459-17.237-794.506-334.795-61.013-174.355-77.092-109.622-62.877-563.023-711.557-93.599-41.204-39.837-27.685-37.451-11.335-14.088-15.131-18.885-51.31-39.212-8.233-25.6-31.6-2.7-9.9-16.6000
Uitgifte van Gewone Aandelen 53.13135.27195.861,220.8733.56412.52542.525.54129.66337.87221.111124.44726.41641.3082.19210.898.45785.3697.51149.92968.61823.33315.8574.60810237.86182.523130.53880.526110.282.643.8000000
Terugkoop van Gewone Aandelen -53.131-16.827-1,175-10.518-1,050-12.347-922.5-862.5-270738.9540-1,978.771-1,147.256-478.316-17.535-186.489705.973-826.25-117.399-336.626-93.536-196.042-718.186-77.799-108.565-72.256151.925259.778275.15757.89914443.8000000
Uitgekeerde Dividenden -2,305.322-3,908.962-1,588.888-1,606.429-1,608.749-1,612.68-1,630.347-1,505.758-1,371.031-1,200.545-1,091.461-959.15400-651.642-755.288-598.183-552.916-454.807-432.683-393.561-391.726-342.03-343.388-208.09-179.101-174.574-136.308-69.072-38.095-25.6-14.2-12.1-7.6-15.3000
Overige Financieringsactiviteiten 2,200.653210.2786,168.387-1.91,506.377.2231,519.8291,230.35253-7.191,410.0961,757.186692.276-357.506-161.79427.404-614.6811,760.959537.148462.98193.771380.4809.214407.309313.99515.497-11.24-21.889-61.908-21.822-13.7-54.4-2.46.410.813.22.643.9
Kasstroom uit Financieringsactiviteiten -112.928-4,193.273,498.141-1,075.716-1,120.735-1,619.588-992.219-1,148.826-1,375.605-1,225.415-16.16-1,117.305-1,438.546-1,132.709-938.401-966.36-1,061.457-244.395-121.146-297.604-264.545-211.72-272.596-20.605-6.748-13.131129.749180.809185.491100.02981.7-12.6-17.2-11.1-21.1-2.1-1228.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000.505-0.426-0.013-0.171-0.126-0.381-0.3180.1960.1440.342-0.795-1.4440.0412.3445.4882.27400000000000079.5-12.5-17-7.3-13.600.1-0.1
Netto Kasstroomverandering -404.78243.867478.69-150.95449.535-72.034243.4879.403-83.427168.5431.93-121.769-317.244-307.53783.088435.257-290.2462.083127.246161.422101.70953.777-40.1234.3423.99.7714.599-53.5860.2859.61981.7-12.6-17.2-11.1-21.111.1-0.4-30
Kaspositie aan het Einde van de Periode 400.375805.157761.29282.6433.554384.019456.053183.688104.285187.71219.16917.239139.008456.252763.789680.701245.444555.584493.501366.255204.833103.12449.34789.46755.12551.22541.45526.85680.43620.15190.1-11.1-16-6.6-9.412.10.61