UDR, Inc.

NYSE:UDR

44.48 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 444.35392.579160.99368.97199.579221.542132.655320.38357.159159.84246.282220.30320.585-106.588-91.623706.929221.349128.605155.16697.15270.40490.19465.29974.95391.77372.63870.2538.02333.119.28911.26.63.655.6
Afschrijvingen & Amortisatie 691.838679.572619.833618.629507.923435.679436.462425.638381.277363.929348.231354.505374.274308.289283.552256.85261.037246.934215.192184.088166.637163.328155.327157.361126.152103.23378.77248.70940.04229.64420.41613.110.69
Uitgestelde Inkomstenbelasting -547.5010-136.093-68.267-137.976-126.894-70.245-3.774-3.886-15.136-7.299-30.282-108.657016.716-7.024-236.742-6.288-2.9390000000000000000
Aandelen Gebaseerde Vergoedingen 32.89627.50522.05219.61624.3314.24412.86213.39818.01713.9549.5318.6959.81507.6057.0246.35602.9390000000000000000
Verandering in Werkkapitaal -36.407-3.348-22.007-46.825-3.1111.107-13.049-25.067-13.558-6.692-31.834-5.327-53.205-9.9923.803-28.678-7.706-3.75417.49311.1794.044-2.50217.9415.528-11.722-7.31-1.7887.339-3.3515.33272-10.6-1.2
Vorderingen 0000000000000000000-1.769-2.5612.76321.12817.861-15.4-30.4-10.6-1.6-4.16.70.10.3-0.90-0.5
Voorraden 000000000000000000000000-11.8-7.3-1.87.3-3.35.400000
Crediteuren 000000000000000000012.9486.604-15.265-3.188-2.3333.623.18.88.90.8-1.33.40.70.40.3-0.1
Overig Werkkapitaal -36.407-3.348-22.007-46.825-3.1111.107-13.049-25.067-13.558-6.692-31.834-5.327-53.205000000-11.179-4.0442.502-17.94-15.52811.8787.291.812-7.2613.249-5.4683.51-0.50.3-0.6
Overige Niet-Contante Posten 247.48523.76319.18212.19339.9584.99820.467-193.646-307.39427.05824.556-231.6731.42422.4719.33-755.3476.284-135.884-139.665-40.672-6.14-24.32-14.155-23.682-15.327-23.238-9.331-4.007-3.3630.279-40.50.9-0.7-1.1
Kasstroom uit Operationele Activiteiten 832.664820.071663.96604.316630.704560.676519.152536.929431.615392.36339.902317.341244.236214.18229.383179.754250.578229.613248.186251.747234.945226.7224.411224.16190.876145.323137.90390.06466.42854.54434.625.116.615.512.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -312.347-236.013-166.524-174.113-184.347-117.209-126.147-96.291-117.449-102.176-69.174-152.824-1,192.455-518.043-303.357-1,243.095-736.431-686.641-622.418-859.065-383.383-655.259-203.282-216.494-461.879-634.458-747.264-71.545-71.213-712.614-128.9-81.9-67.3-36.8-37.9
Netto Overnames -72.395-201.412-112.321-77.603-105.219-113.025-123.842-40.162-217.642-222.93-43.291-282.714228.262-57.581-91.6721,340.584-198.974219.1860-755.966-314.739-282.6-74.372-4.63500000000000
Aankoop van Beleggingen 312.34718.018-280.077-277.886-38-107.555126.14796.291117.449102.17669.174152.824-102.81-127.062-56.429-16.659-37.064-9.8540-83.968-55.004-349.896-128.91-131.7280000000000-8.9
Verkoop/verval van Beleggingen 14.47140.808280.077277.88638247.03171.235302.354387.65383.886250.043324.5339.79939.48820018.774758.315553.345385.904265.69193.613284.834109.713205.345236.7135.273.933.8000.100111.9
Overige Investeringsactiviteiten -231.214-550.929-993.408-209.126-1,397.121-22.79-354.834-374.469-408.457-454.616-329.961-251.2044.02279.44493.413202.7142.757-226.00917.497837.342355.296937.859232.796251.305190.885202.821327.698-123.827-112.717352.983-20000.1
Kasstroom uit Investeringsactiviteiten -289.138-929.528-1,272.253-460.842-1,686.687-113.548-407.441-112.277-238.449-293.66-123.209-209.385-1,053.182-583.754-158.045302.304-71.397-149.973-219.017-595.966-304.217-65.062-64.055103.793-34.294-296.437-345.666-161.572-183.93-359.631-130.8-81.9-67.3-35.8-34.8
Financieringsactiviteiten:
Schuldaflossingen -83.406-2.672-241.978-405.951-416.63-79-626.346-599.011-521.998-393.461-245.064-936.885-225.048-432.338-801.371-978.01-354.086-332.788-286.447-187.259-298.945-576.161-133.426-429.088-72.02-225.075-199.797-210.906-55.7-44.744-17.7-32.5-23.7-4.8-15.8
Uitgifte van Gewone Aandelen 0629.552899.053102.234725.315299.8250173.211210.01199.8490756.138883.62473.01167.549184.3272.5245.3034.33499.411179.81160.25266.31936.39960.8576.686100.75115.01279.615115.40779.178.515.4-0.947.7
Terugkoop van Gewone Aandelen -25.56-49.0280-19.7950-19.9880350426.91456.9580-91.47-3.597-130.854-156.577-160.88-217.588454.26-73.242615.975-0.071-16.51-151.166-28.739-43.6324.6280.468247.4137.078247.5066631.272.8317.7
Uitgekeerde Dividenden -544.622-488.005-438.005-423.567-387.142-346.077-331.501-312.64-286.89-259.824-235.546-214.424-159.757-4.314-7.275-179.412-189.235-182.155-178.371-167.734-155.72-144.54-142.819-147.007-144.566-125.685-102.047-63.692-50.35-35-26.5-21.8-15.1-14.4-11
Overige Financieringsactiviteiten -52.07821.386-90.486-115.183850.89526.998846.062-40.842-29.681-17.247282.051378.297316.745467.57819.581661.438580.28-37.66512.196-13.094345.869513.832195.072243.10924.351118.644115.40994.2422.50223.406-0.11.41.41.91
Kasstroom uit Financieringsactiviteiten -538.854111.233612.54-152.594880.383-260.067-111.785-429.282-201.648-113.725-198.559-108.344811.963373.075-78.093-472.537-178.105-93.04-21.53347.29970.944-163.127-166.02-325.326-174.985169.17194.78482.056113.145306.575100.856.850.812.829.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000096.2050.720.322.5
Netto Kasstroomverandering 4.6721.7764.247-9.12-175.6187.061-0.074-4.63-8.482-15.02518.134-0.3883.0173.501-6.7559.5211.076-13.47.6393.081.672-1.489-5.6642.627-18.40318.056-12.97910.548-4.3571.488100.8050.812.829.6
Kaspositie aan het Einde van de Periode 34.86630.19428.41824.17133.291208.8912.0382.1126.74215.22430.24912.11512.5039.4865.98512.743.2192.14315.5437.9044.8243.1524.64110.3057.67818.5290.47313.4522.9047.261101.91.151.821.230.9