RPT Realty

NYSE:RPT

12.83 (USD) • At close December 29, 2023
Overview | Financials

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

2022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 85.65770.264-10.47493.68618.03670.71961.11266.895-2.41211.4627.092-28.5-23.72415.70623.32438.67535.23113.9415.1211.0938.8428.31311.75611.8398.6589.1980.2923.53815.6423.17.812.823.823.7
Afschrijvingen & Amortisatie 75.26472.25477.21378.64787.32791.33591.79389.43981.18256.84139.82237.02631.9930.86632.12136.97632.67530.13427.49122.97617.73617.08315.27413.31112.1898.2164.7981.0160.7490.60.60.100
Uitgestelde Inkomstenbelasting 0.12-0.088-0.0250.1790.1980.1430.2990.3390.0540.064-0.0340.7958.22-4.20900000000000000000000
Aandelen Gebaseerde Vergoedingen 9.7054.0813.7423.4934.6732.712.8611.8882.0932.1512.121.8491.2791.29100000000000000000000
Verandering in Werkkapitaal -0.2041.424-9.183-4.565-10.938-6.047-5.541-12.5717.2836.6827.6490.4228.0783.186-23.53531.066-4.528-10.481-2.21-12.721-11.141-6.615-11.228-5.976-8.91-4.3814.412-7.049-4.865-9.8-2.8-6.6-7.27.2
Vorderingen 2.1471.095-1.647-0.6372.39-1.9741.859-6.708-2.349-1.6721.128-0.2525.1122.12-4.9495.0350.796-9.328-5.149-17.212-10.906-5.919-11.51-6.7-11-7-4.9-4.6-2.50.2-1.4-1.2-2.5-1.2
Voorraden 00000000000000026.41-6.31-6.2150-5.444-3.775-1.9270-5.9530-4.341.93-4.61-4.84200000
Crediteuren -1.4181.218-9.994-2.172-11.91-3.903-8.074-10.3924.2129.0430.172-3.903-0.7920.901-20.86426.031-5.324-1.1531.5584.491-0.235-0.6960.2820.72.12.79.3-2.5-2.3-5.10-2.1-1.14.8
Overig Werkkapitaal -0.933-0.8892.458-1.756-1.418-0.170.6744.5295.42-0.6896.3494.5773.7580.1652.278-26.416.316.2151.3815.4443.7751.92711.2285.9778.94.259-1.9184.6614.777-4.9-1.4-3.3-3.63.6
Overige Niet-Contante Posten -67.371-55.0711.786-80.8477.026-40.935-33.429-40.83222.3928.3835.54533.11117.4061.224-4.912-20.729-16.59311.0125.9864.6813.115.7751.3244.784.8573.9934.7494.832.9261614.313.48-1
Kasstroom uit Operationele Activiteiten 97.67392.86463.05990.593106.322117.925117.095105.158110.59285.58362.19444.70343.24948.06426.99885.98846.78544.60546.38726.02918.54724.55617.12623.95416.79417.02614.2512.33514.4529.919.919.724.629.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -29.408-28.142-23.124-56.601-77.173-63.256-72.038-60.923-80.742-44.625-38.431-101.69-87.718-21.598-67.88-87.133-50.424-59.468-119.084-96.194-105.548-21.727-27.332-43.178-38.501-152.492-41.727-1.006-8.83300000
Netto Overnames -114.519-156.526-0.011-4.73830014.098-0.014-4.979-3.8690000031.94800010.2720000000000000
Aankoop van Beleggingen -4.822-1.957056.6010000000-10.279-13.72-10.922-6.079-38.177-22.886-44.311-6.54700-2.469-1.43-2.329000-0.256000-5.400
Verkoop/verval van Beleggingen 4.8020.71203.1500000000000022.9070000000000009.30000
Overige Investeringsactiviteiten 80.21818.7814.20696.683116.43552.91579.784-107.508-234.967-306.148-130.9132.222-0.49729.075107.561148.49260.56817.8220.06814.98214.8729.9715.98334.8040.221-0.69161.476-55.07446.01612.40.51.4-17.813.7
Kasstroom uit Investeringsactiviteiten -63.729-167.132-18.92995.09542.262-10.3417.746-154.333-315.723-355.752-173.21-79.747-101.935-3.44533.60223.18242.113-85.959-105.563-81.212-80.4065.774-12.779-10.703-38.28-153.18319.749-56.33537.18421.70.5-4-17.813.7
Financieringsactiviteiten:
Schuldaflossingen -309.423-497.111-127.378-350.127-125.857-353.819-308.998-93.025-171.123-135.154-24.518-284.954-144.145-286.502-196.01-317.341-15.437-332.753-100.017-120.08-68.341-9.026-5.605-37.567-7.4-60.509-74.8520-6.491-19.2-16.5000
Uitgifte van Gewone Aandelen 17.40744.601225319.49033326017.11170.372274.295111.4688.81975.69396.24167.59726.2010.2980.2920.593108.496105.0690.11233.2500.0111.1000-0.2-0.30-6.26
Terugkoop van Gewone Aandelen -1.393-1.507-1.341-0.704-1.823-0.522-0.20220027518555.5346.792154.7176.186-34.15-25.933-7.804414.771190.741106.452-53.184-0.654-1.246052.389217.94700-0.23800000
Uitgekeerde Dividenden -50.936-28.946-42.912-79.034-78.842-78.613-76.078-72.753-63.115-48.938-37.397-28.635-22.501-20.477-6.247-37.087-36.48-35.997-32.059-24.854-18.247-15.3-15.465-15.379-13.156-11.967-9.545-9.118-9.123-11.1-17.2-20.1-23.8-23.4
Overige Financieringsactiviteiten 302.243359.78-0.567-5.393-0.231-3.131-2.625-4.848-2.463-3.472-1.959-4.998-3.362-6.561-1.472248.417-25.061-5.075-4.92-4.92299.003-2.859-18.08640.889-10.84-18.92242.4710000.112.70-0.2
Kasstroom uit Financieringsactiviteiten -42.102-123.18352.802-115.858-116.753-103.085-127.90346.484208.671271.731103.09437.02460.385-41.114-70.282-105.743-84.48441.23854.33865.09264.3-27.727-7.152-12.05721.003137.649-41.926-9.118-15.852-30.5-33.9-7.4-30-17.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000.04400000001.99100000000-31.6-20.4-15.7-6.8-43.6
Netto Kasstroomverandering -8.158-197.45196.93269.8331.8314.499-3.062-2.6913.541.562-7.9221.981.7433.505-9.6823.4274.414-0.116-4.8389.9094.4322.603-2.8051.194-0.4831.492-7.926-63.11735.783-30.5-33.9-7.4-30-17.6
Kaspositie aan het Einde van de Periode 5.87514.033211.484114.55244.7228.0813.5826.6449.3355.7954.23312.15510.1758.85.29514.97711.5514.92915.04519.8839.9745.5422.9395.7444.555.0333.54111.46774.5847.117.335.53622.4