UDR, Inc.

NYSE:UDR

44.48 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 34.8661.1930.9671.4098.106185.2162.0382.1126.74215.22430.24912.11512.5039.4865.98512.743.2192.14315.5437.9044.82414.92531.47155.24864.64769.3340.47313.4522.9047.261000000000
Kortetermijnbeleggingen 10.103754.4463.2790.0020.0064.7575.7434.360.0130.08800.00203.86637.65000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 34.8661.1930.9671.4098.106185.2162.0382.1126.74215.22430.24912.11512.50313.35243.63512.743.2192.14315.5437.9044.82414.92531.47155.24864.64769.3340.47313.4522.9047.261000000000
Nettovorderingen 228.82554.70726.86157.992153.6542.25919.46919.7916.69414.36983.03364.00607.87.8207.4512.65510.564.80500000000000000000000
Voorraad 0113.902388.062246.86769.7540588.636342.282124.072177.632466.002489.795000000000000000000000000000
Overige vlottende activa -263.691-84.90127.45122.76225.18523.67519.79219.99420.79822.3422.79623.56154.70242.71435.4837.38440.43140.76235.61900000000000000000000
Totaal vlottende activa 263.69184.901443.34429.03256.695251.15629.935384.178168.306229.565602.08589.47767.20563.86686.915257.57456.30553.405115.9677.9044.8243.15231.47155.24864.64769.3340.47313.4522.9047.261000000000
Niet-vlottende activa:
Materiële vaste activa, netto 190.619194.081197.463200.913204.2256,541.9996,737.5726,580.0296,453.5425,923.9035,878.2624,045.976,242.7445,243.0214,963.7544,753.0644,580.7824,566.3954,388.5954,235.4093,454.9213,218.753,261.3013,326.9153,557.1813,636.1222,272.0311,911.7321,001.644887.258490.8382.3305.4251218.10000
Goodwill 000000000000000000000000000000000000000
Immateriële activa 45.4173.37521.4132.63143.61400000011.9000000000000000000000000000
Goodwill en immateriële activa 45.4173.37521.4132.63143.614-7,711.728-7,733.273-7,679.584-6,465.3420011.9000000000000000000000000000
Langetermijnbeleggingen 952.934754.446702.461600.233588.262780.869720.83827.025938.906718.226507.655507.037213.04148.05714.12647.048104.481000.4581.67303.3558.088000000000000000
Belastingvorderingen -45.417-3.375-21.413-2.631-43.6147,711.7287,733.2737,679.58411.800-4,057.87000000000000000000000000000
Overige niet-vlottende activa 9,965.99810,005.0429,431.9568,407.3578,587.29137.71-355.064-111.6486,556.632-25.16-180.2755,791.995198.36574.59667.82286.60959.55356.07537.031-4,235.867-3,456.594-3,218.75-3,264.656-3,335.003-3,557.181-3,636.122-2,272.031-1,911.732-1,001.644-887.258-490.8-382.3-305.4-251-218.10000
Totaal niet-vlottende activa 11,109.55110,953.56910,331.889,208.5039,379.7777,460.5787,103.3387,295.4067,495.5386,616.9696,205.6426,299.0326,654.1495,465.6745,045.7024,886.7214,744.8164,622.474,425.6264,235.8673,456.5943,218.753,264.6563,335.0033,557.1813,636.1222,272.0311,911.7321,001.644887.258490.8382.3305.4251218.10000
Totaal activa 11,373.24211,038.4710,775.229,637.5339,636.4727,711.7287,733.2737,679.5847,663.8446,846.5346,807.7226,888.5096,721.3545,529.545,132.6175,144.2954,801.1214,675.8754,541.5934,332.0013,543.6433,276.1363,348.0913,453.9573,688.3173,755.3882,313.7251,966.9041,080.616911.913505.8390.4314.5259.5231.5192161.3146.8131.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 141.311153.22136.954110.99990.03276.343102.956103.83581.35691.282118.68287.00395.485105.92580.68571.39551.51254.87855.4663.48555.13784.775100.14583.27287.10877.17310.093009.853000000000
Kortlopende schulden 412.668328.015249.546218.024316.583101.131321.76721.35150152.513.84776-15.7030000000000000000000954820.50000
Belastingschulden 47.10737.68133.09529.94629.44520.60818.34917.38818.78615.97813.84714.07613.39714.58516.97614.0358.80825.55724.67231.35630.85829.74328.09930.55430.88729.07821.744000000000000
Uitgestelde opbrengsten 50.52851.99955.44149.00848.35335.0631.91634.23836.3334.06427.20342.58929.100000000000000000000000000
Overige kortlopende verplichtingen 244.417-109.45-45.742-27.523-132.55755.89-178.531112.231-21.684-32.84794.18626.92874.227100.978127.603120.768114.649106.8496.657-32.129-24.279-55.032-100.145-83.272-87.108-77.173-10.09300-9.85300-95-48-20.50000
Totaal kortlopende verplichtingen 848.924423.784396.199350.508322.411268.424278.108271.654246.002244.999253.918232.52183.109206.903208.288192.163166.161161.718152.11731.35630.85829.743100.14583.27287.10877.17310.093009.85300954820.50000
Langlopende verplichtingen:
Langetermijnschulden 5,798.7095,676.5415,605.2755,172.144,906.0823,547.7873,671.6633,401.4783,570.7953,583.1053,523.7033,409.3333,918.373,567.5043,426.5893,274.0473,502.6763,338.7853,159.7772,879.9822,132.0372,057.642,064.1971,992.332,127.3052,117.7491,156.2261,044.835305.339526.664229.4181.173.484.776.273.47284.823
Uitgestelde opbrengsten niet-vlottend -0.803-423.784-396.1995,522.6485,228.4933,816.2113,949.7713,673.13200029.406000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.8030.755-0.798195.592198.558-3,565.061-3,908.472-3,631.236000-42.589000000000000000000000000000
Overige niet-vlottende verplichtingen -226.832423.029396.997-5,718.24-5,427.051-251.15-41.299-41.89600042.58964.61626.046030.03350.84231.28438.156141.619123.106118.266-2,064.197-1,992.33-2,127.305-2,117.749-1,156.226-1,044.835-305.339-526.664-229.4-181.1-73.4-84.7-76.2-73.4-72-84.8-23
Totaal niet-vlottende verplichtingen 5,571.8775,676.5415,605.2755,172.144,906.0823,547.7873,671.6633,401.4783,570.7953,583.1053,523.7033,438.7393,982.9863,593.553,426.5893,304.083,553.5183,370.0693,197.9333,021.6012,255.1432,175.9062,064.1971,992.332,127.3052,117.7491,156.2261,044.835305.339526.664229.4181.173.484.776.273.47284.823
Totaal passiva 6,420.8016,100.3256,001.4745,522.6485,228.4933,816.2113,949.7713,673.1323,816.7973,828.1043,777.6213,671.2594,166.0953,919.513,634.8773,496.2433,719.6793,531.7873,350.053,052.9572,286.0012,205.6492,229.7012,146.7392,283.9382,265.8251,240.6751,044.835305.339554.945229.4181.1178.3141.3103.773.47284.823
Eigen vermogen:
Preferente aandelen 0.00144.61544.76544.76546.20146.20146.20146.45846.45846.57146.57146.571128.18131.7146.571157.339181.571181.971183.311181.971236.564310.4310.4410.206427.8724301051051050000000000
Gewone aandelen 47.9043.293.1812.9662.9462.7552.6782.6732.6182.5512.5072.5012.1971.8251.5551.4881.3331.351.34136.43127.295106.605103.133102.219102.741103.63989.16881.98356.37550.356000000000
Ingehouden winsten -3,554.892-3,451.587-3,485.08-2,685.77-2,462.132-2,063.996-1,871.603-1,585.825-1,584.459-1,528.917-1,342.07-1,143.781-1,142.895-973.864-687.18-406.419-784.052-810.875-755.702-731.808-651.497-541.428-448.345-366.531-296.03-242.331-183.312-147.529-120.314-98.194-79.8-63-46.1-33.8-24.2-17.5-10.7-5.7-2.1
Overige gereserveerde algehele resultaten 4.9148.344-4.261-9.144-10.448-0.067-2.681-5.609-12.678-8.855-5.125-11.257-13.902-3.4690.002-12.715-1,371.759-1,253.727-1,123.8290-1.862-9.958-14.871000000.4480000000000
Overige totale aandeelhoudersvermogen 7,493.2177,493.4236,884.2695,881.3835,781.9754,920.7324,651.2054,635.4134,447.8164,223.7474,109.7654,098.8823,340.472,450.1412,034.4931,848.9012,992.32,936.5362,802.6041,608.8581,452.9361,135.6521,092.4081,072.9981,075.6291,082.8131,047.501810.925474.88404.806339.8260.7182.315215297.461.561.536.8
Totaal eigen vermogen van aandeelhouders 3,991.1444,098.0853,442.8743,234.23,358.5422,905.6252,825.83,093.112,899.7552,735.0972,811.6482,992.9162,314.051,606.3431,395.4411,588.5941,019.3931,055.2551,107.7241,195.4511,163.4361,001.2711,042.7251,218.8921,310.2121,374.1211,058.357850.379516.389356.968260197.7136.2118.2127.879.950.855.834.7
Totaal eigen vermogen 4,952.4414,938.1454,773.7464,114.8854,407.9793,895.5173,783.5024,006.4523,847.0473,018.433,030.1013,217.252,555.2591,610.031,497.741,648.0521,081.4421,144.0881,191.5431,279.0441,257.6421,070.4871,118.391,307.2181,404.3791,489.5631,073.05852.408516.389356.968260197.7136.2118.2127.879.950.855.834.7
Totaal passiva en aandeelhoudersvermogen 11,373.24211,038.4710,775.229,637.5339,636.4727,711.7287,733.2737,679.5847,663.8446,846.5346,807.7226,888.5096,721.3545,529.545,132.6175,144.2954,801.1214,675.8754,541.5934,332.0013,543.6433,276.1363,348.0913,453.9573,688.3173,755.3882,313.7251,966.9041,080.616911.913505.8390.4314.5259.5231.5192161.3146.8131.2