Regency Centers Corporation

NASDAQ:REG

72.28 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 84.97168.77695.027378.45115.56242.53249.38117.87940.623121.78990.20422.34917.45222.4699.47721.53318.66834.04642.45895.3229.86956.44727.853100.98854.11719.9216.5868.29333
Kortetermijnbeleggingen 14.2136.575002.98717.48214.51511.6220035.2374.307000000000000000000
Liquide middelen en kortetermijnbeleggingen 84.97168.77695.027378.45115.56242.53249.38117.87940.623121.78990.20422.34917.45222.4699.47721.53318.66834.04642.45895.3229.86956.44727.853100.98854.11719.9216.5868.29333
Nettovorderingen 214.867188.863153.091143.633169.337172.359170.985111.722106.16498.89988.891100.342121.649117.772117.917135.23575.44167.16256.87860.91154.57347.98347.72339.40833.51516.7599.5475.2812.62.6
Voorraad 322.777-6.57500-2.987-17.48227.64423.96525.32620.12117.16123.429-6.05058.376000000000000000
Overige vlottende activa -297.516-257.639-248.118-522.083-284.89963.1744.0114.6233.7678.0139.526.4726.05062.29304,031.6753,558.2623,506.6973,073.421263.396000000000
Totaal vlottende activa 325.099257.639273.692556.017330.464278.065252.021158.189175.88248.822205.776152.592139.101140.232338.064156.7674,125.7843,659.473,606.0333,229.652347.838104.4375.576140.39687.63236.67926.13313.5755.65.6
Niet-vlottende activa:
Materiële vaste activa, netto 334.664275.513280.783287.827292.7866.1276.1233,813.2023,502.1133,476.1783,156.7053,068.2493,310.2933,288.2763,309.5313,915.053,900.6973,474.2443,394.822,994.0622,740.1852,718.8363,081.6022,711.3742,464.7871,160.718792.606366.154260.1203.6
Goodwill 167.062167.062167.095173.868307.434314.143310.60900000000000000000000000
Immateriële activa 283.375197.745212.707188.799242.822387.069477.589118.831105.3852.36544.80542.45927.05418.21910.00712.90317.22812.31510.18214.17210.205000000000
Goodwill en immateriële activa 450.437197.745212.707188.799242.822701.212788.198118.831105.3852.36544.80542.45927.05418.21910.00712.90317.22812.31510.18214.17210.205000000000
Langetermijnbeleggingen 422.597350.377372.591467.155469.522504.288386.304296.699306.206333.167358.849442.927408.596428.592326.212383.4080000140.496125.48275.2385.19866.93930.63111.03500
Belastingvorderingen 10,853.48110,860.229,386.3599,175.669,405.9310,944.6639,647.8-3,813.202-3,502.113-3,476.178-3,156.705-3,068.24970.20463.165-60.21-369.68100000000000000
Overige niet-vlottende activa 40.635-1,081.274266.431261.446390.729-1,489.69263.5893,915.1873,603.6083,562.8163,304.0863,215.4831.82435.16450.20343.928-3,900.697-3,474.244-3,394.82-2,994.062-140.496-2,844.318-3,156.831-2,796.573-2,531.726-1,191.348-793.606-367.19-260.1-203.6
Totaal niet-vlottende activa 12,101.81410,602.58110,518.87110,380.88710,801.78910,666.59810,892.0144,330.7174,015.1943,948.3483,707.743,700.8663,847.973,833.4163,635.7433,985.60817.22812.31510.18214.1722,750.3912,844.3183,156.8312,796.5732,531.7261,191.348793.606367.19260.1203.6
Totaal activa 12,426.91310,860.2210,792.56310,936.90411,132.25310,944.66311,144.0354,488.9064,191.0744,197.173,913.5163,853.4583,987.0713,973.6483,973.8074,183.364,143.0123,671.7853,616.2153,243.8243,098.2293,061.8593,109.3143,035.1442,654.9361,240.107826.849386.524271214.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 358.612317.259322.271302.361213.705224.807234.271138.936164.515181.197147.045127.109101.86200141.395164.479140.94110.8102.4430073.4340000000
Kortlopende schulden 1524,294.6817.237264.679484.383145623.262278.49516575751701,982.442,094.4691,886.382,135.57100000000000000
Belastingschulden 000000000000000000000000000000
Uitgestelde opbrengsten -16.03770.2420-4,878.757-4,842.2920623.262278.495000-0.076000000000000000000
Overige kortlopende verplichtingen 16.037-4,364.922-17.2374,878.7574,842.292-0-623.262-278.4950000.07612.698101.04699.145-2,135.571100.521102.06102.2149.557364506419.56650339614135884
Totaal kortlopende verplichtingen 510.612317.259322.271567.04698.088369.807857.533417.431329.515256.197222.045297.1092,097.0012,195.5161,985.525141.39526524321325236450649350339614135884
Langlopende verplichtingen:
Langetermijnschulden 4,248.0123,940.4763,934.7323,878.7953,658.0793,570.2122,971.7151,363.9251,707.4781,946.3571,779.6971,771.8911,982.442,094.4691,892.2761,845.7692,007.9751,575.3861,613.9421,493.091,452.7771,333.5241,396.7211,307.0721,011.967548.12648.13173.701115.6108
Uitgestelde opbrengsten niet-vlottend -13.343-12.588-13.344-13.031-13.649-13.897-18.6541,864.4040000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 13.34312.58813.34413.03113.64913.89718.65454.180000000000000000000000
Overige niet-vlottende verplichtingen 476.354424.446425.628432.922486.125554.476581.733-1,835.53671.46158.13450.6438.547-1,962.024-2,076.996-1,847.389392.9290.025-0.3860.058-0.090.2230.4760.279-0.0720.033-0.126229.86998.2990.40
Totaal niet-vlottende verplichtingen 4,724.3664,364.9224,360.364,311.7174,144.2044,124.6883,553.4481,446.9731,778.9392,004.4911,830.3371,810.43820.41617.47344.8872,238.6982,0081,5751,6141,4931,4531,3341,3971,3071,012548278172116108
Totaal passiva 5,234.9784,682.1814,682.6314,878.7574,842.2924,494.4954,410.9811,864.4042,108.4542,260.6882,052.3822,107.5472,117.4172,212.9882,030.4122,380.0932,194.2441,734.5721,739.2251,610.7431,562.531,419.281,478.8121,390.7951,068.805677.766305.722179.798124112.3
Eigen vermogen:
Preferente aandelen 225000000.2893253253253253252752752752752752752752007510.50634.69634.69634.69600000
Gewone aandelen 1.8461.7111.7121.6971.6761.6791.7141.0450.9720.9410.9230.9040.8990.8190.8150.7560.7520.7440.7330.680.650.6350.610.6020.5960.280.2650.13100
Ingehouden winsten -1,871.603-1,764.977-1,814.814-1,765.806-1,408.062-1,255.465-1,158.17-994.259-936.02-882.372-874.916-834.81-662.735-531.504-373.345-155.057-41.316-41.897-77.422-79.57-77.794-79.53-68.226-51.065-26.78-19.396-20.495-13.982-8.10
Overige gereserveerde algehele resultaten -1.3087.56-10.227-18.625-11.997-0.927-6.289-18.346-58.693-57.748-17.404-57.715-71.429-80.885-49.973-91.465-18.916-13.317-11.692-5.2910.175-244.596-202.325-147.054-104.467-58.984-40.796-26.21300
Overige totale aandeelhoudersvermogen 8,678.7527,852.6917,860.77,767.6467,631.7317,652.6837,854.5083,277.8612,722.852,520.7712,409.7512,297.3862,266.622,038.0062,022.671,707.1251,654.8661,632.7871,602.2061,382.8981,282.9471,534.7061,454.2961,388.2351,343.203628.841574.652246.79155.1101.8
Totaal eigen vermogen van aandeelhouders 7,032.6876,096.9856,037.3715,984.9126,213.3486,397.976,692.0522,591.3012,054.1091,906.5921,843.3541,730.7651,808.3551,701.4351,875.1671,736.361,870.3861,853.3171,788.8251,498.7171,280.9781,221.721,219.0511,225.4151,247.249550.741513.627206.726147101.8
Totaal eigen vermogen 7,191.9356,178.0396,109.9326,058.1476,289.9616,450.1686,733.0542,624.5022,082.621,936.4821,861.1341,745.9111,869.6541,760.661,943.3941,803.2671,948.7681,937.2131,876.991,633.0811,535.6991,642.5791,630.5031,644.3481,586.131562.341521.127206.726147101.8
Totaal passiva en aandeelhoudersvermogen 12,426.91310,860.2210,792.56310,936.90411,132.25310,944.66311,144.0354,488.9064,191.0744,197.173,913.5163,853.4583,987.0713,973.6483,973.8074,183.364,143.0123,671.7853,616.2153,243.8243,098.2293,061.8593,109.3143,035.1442,654.9361,240.107826.849386.524271214.1