Sun Communities, Inc.

NYSE:SUI

144.63 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -199.2263.8413.737147.451177.379120.15881.81931.471170.47333.19620.1487.995-0.535-3.513-7.156-34.448-16.643-24.968-5.452-40.46823.71413.31233.9133.29429.126.122.318.611.77.80.3
Afschrijvingen & Amortisatie 660579.1512.49372.63314.718276.07258.107219.269174.589131.003105.2186.48773.48468.35667.51667.5366.00963.44759.27349.5144.1238.52533.5160.94329.525.620.714.99.77.32.7
Uitgestelde Inkomstenbelasting -22.9-4.20.091-1.565-0.222-0.507-0.582-0.41-20.765-3.117-4.003-0.5510.630.85429.23000000000000000
Aandelen Gebaseerde Vergoedingen 42.937.62823.04517.48215.06612.6959.5577.1084.8793.1991.4631.6091.5932.5661.961000000000000000
Verandering in Werkkapitaal -144.4-206.2-30.71732.6286.992-38.505-64.4910.947-19.36-16.049-13.47-6.31-12.039-8.648-3.16-21.979-18.4467.25619.9861.024-10.758-36.008-7.1-17.226-3.42-3.83-12.20410.9731.2-12.4
Vorderingen -7.95.2-1.2-0.1762.988-2.299-26.193-20.933-9.27-15.3-6.228-76.585-3.40727.7211.9351,146.33-9.2464.859.662-6.591-5.55-15.973-4.879-7.48-3.8-9-6.9-2.70-0.20
Voorraden -110.3-274-75.9510.853-44.322-40.304-29.26428.118-14.618-11.144-3.229-1.211-18.251-2.875-0.881-17.62810.3831.963-0.326-10.0751.97158.996166.05157.487165.48113.9793.696104.573000
Crediteuren 110.3-5.21.20.176-2.9880000003.48412.08-1.5661.957-1.4950.023-1.2220.3317.103-0.814-2.0311.329-1.1332.17.10.88.20.6-0.31.2
Overig Werkkapitaal -136.567.845.23321.77551.3141.799-35.227-27.171-4.742-4.905-10.24168.002-2.461-31.927-16.171-1,149.186-19.603-28.33510.31910.587-6.364-177-169.6-166.1-167.2-115.9-99.8-99.10.6-0.51.2
Overige Niet-Contante Posten 471.564.8-170.017-25.241-39.615-9.168-25.798-22.151-151.5471.0562.7131.6191.5530.703-0.8590.83918.72910.366-7.59747.7566.19235.135.54539.6676.3064.7179.406-9.059-2.50.1-1.5
Kasstroom uit Operationele Activiteiten 807.9734.9753.572548.948476.734363.114261.75238.693182.263133.32114.68387.25163.52159.12159.76143.13349.64956.10166.2157.82263.26850.95965.87156.67861.48652.58740.20235.41420.114.23.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0866.4-281.2517.757568.6660000000-164.891-50.863-45.14-39.283-34.074-52.113-87.99-147.965-50.31-87.283-70.331-57.832-76.062-105.268-78.552-78.722-38.2-7.1-1.7
Netto Overnames -51.4-2,261.9-36.889-47.241-60.742-84.027-120.3770.5-4.362-17.06400000-9.436003.8678.25700000000000
Aankoop van Beleggingen -1,080.9-1,025.1-35.524-585.764-630.003-473.426-288.537-223.429-517.70100000-0.05-0.500-84.875-106.975-77.631-71.043-42.266-41.940-42.188-15.0930-4.1-78.6-46.8
Verkoop/verval van Beleggingen 186.5158.7281.268.00761.33755.8558.57593.905101.3700000015.87204.226129.8577.52722.4993.28817.33134.4636.720.800000
Overige Investeringsactiviteiten 10.8-800.7-2,265.836-2,439.276-949.715-649.716-281.265-1,615.012-408.822-533.641-352.412-375.2195.3537.4795.7052.05913.2740.1022.09817.00346.554-13.83560.431-3.767-50.94920.937-14.0561.8041.8-0.1-23.2
Kasstroom uit Investeringsactiviteiten -935-3,062.6-2,338.249-2,486.517-1,010.457-733.743-401.642-1,614.512-413.184-550.705-352.412-375.219-159.538-43.384-39.485-31.288-20.8-47.785-37.05-152.153-58.888-168.873-34.835-69.079-90.311-105.719-107.701-76.918-40.5-85.8-71.7
Financieringsactiviteiten:
Schuldaflossingen -574.2-2,904.8-4,037.7-1,591.868-4,436.818-1,755.24-843.963-808.812-173.37-52.383-533.208-441.452-317.454-151.111-152.564-160.488-250.667-334.065-34.346-525.2240-48.488-76.599-35-1.7-0.9-0.189-241.114-7.1-3.6-56.5
Uitgifte van Gewone Aandelen -0.61,209.61,057.4811,850.6115,246.046623.54487.677750.534310.396572.171261.76300.63458.36629.9171.505202.3370.0382.4379.3251.03326.22213.8010.8090.20953.527.40117.770.985.893.1
Terugkoop van Gewone Aandelen -13.4-19.34,964.598-2-2.675-4.105-114.1580-121.445-1.119-0.3527.839416.087-0.925-0.5-0.476-4.798-9.604-22.311-37.2010-13.801-6.9726543.783.9018541.3041
Uitgekeerde Dividenden -476.4-434.2-390.8-313.137-276.697-242.813-224.483-193.74-162.491-121.377-100.403-73.371-60.034-53.779-52.462-52.133-46.337-49.075-48.499-51.12-49.153-46.771-43.962-42.374-40.622-37.087-33.748-25.965-19.8-11.5-1.3
Overige Financieringsactiviteiten -4.14,497.3-23.1742,057.238-23.9761,788.523836.484723.898181.669565.085585.125-2.031-3.511164.085182.079-0.338275.147379.301-50.035735.37139.945211.2581.80931.702-24.344-12.73394.39814.928-0.10.1-2.9
Kasstroom uit Financieringsactiviteiten 80.32,348.61,570.3912,000.844505.88409.905141.5571,338.97192.548496.091212.974311.61993.454-11.813-21.942-11.098-26.617-11.013-75.866122.85917.014115.991-44.91519.53730.53460.5860.46150.61915.270.873.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1-8.7-0.1570.1890.411-0.5230.298-0.0730000000000000000000020.471.667.8
Netto Kasstroomverandering -47.712.2-14.44363.464-27.43238.7531.963-36.922-38.37378.706-24.75523.651-2.5633.924-1.6660.7472.232-2.697-46.70628.52821.394-1.923-13.8797.1361.7097.448-7.0389.11515.270.873.4
Kaspositie aan het Einde van de Periode 42.790.478.19898.29434.8362.26210.1278.16445.08683.4594.75329.5085.8578.424.4966.1625.4153.1835.8852.58624.0582.6644.58718.46611.3559.6462.1989.23620.67774