W. P. Carey Inc.

NYSE:WPC

62.99 (USD) • At close July 1, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 640.373633.86167.996165.427248.662196.028217.644162.312155.482157.227198.683117.519123.90429.29764.69318.4516.79912.13722.10813.01416.71524.35921.3048.8710.1652.2975.67318.586
Kortetermijnbeleggingen 00771.7610.00100.0091.4910.5620.2440.0090.2881.620.0250000242.677166.147134.567110.37982.8000000
Liquide middelen en kortetermijnbeleggingen 640.373633.86167.996165.427248.662196.028217.644162.312155.482157.227198.683117.519123.90429.29764.69318.4516.79912.137188.255147.581127.094107.15921.3048.8710.1652.2975.67318.586
Nettovorderingen 02.1760.9191.82626.25757.81674.842115.308310.0172.91832.35732.03436.20238.36938.79335.99853.07488.32988.88482.93363.47150.91740.24118.7897.945000
Voorraad 00-2.693-0.0010-0.009-1.491000-0.288-1.620000000000000000
Overige vlottende activa 037.12257.0258.26918.59104.010-277.6226.247-230.1457.25586.823-160.10600000708.522648.44132.717224.751108.006359.785358.082000
Totaal vlottende activa 640.373670.982226.859175.522293.509357.854292.486162.312155.482157.227240.415233.676123.90467.666103.48654.44869.873100.466985.661878.955223.282382.827169.551387.444376.1922.2975.6730
Niet-vlottende activa:
Materiële vaste activa, netto 011,956.76456.674-145.572-145.844-179.3098,820.3144,782.33905,681.3945,566.3182,353.3912,298.123621.182548.131499.248574.329586.594574.11462.343676.149421.543629.532435.629433.867796.906749.007457.3
Goodwill 967.843978.2891,037.412901.529910.818934.688920.944643.96635.92681.809692.415350.208329.13263.607000063.60763.60763.60763.60749.87400000
Immateriële activa 01,460.9963,493.5013,229.413,182.3333,095.992,935.4251,868.8171,247.5691,377.921,516.616718.427737.36362.3500099.87343.74240.750.50138.52844.56792.810000
Goodwill en immateriële activa 967.8432,439.2854,530.9134,130.9394,093.1514,030.6783,856.3692,512.7771,923.5892,059.7292,209.0311,068.6351,066.495125.95787.76885.18793.3199.873107.349104.307114.108102.13594.44192.8194.183000
Langetermijnbeleggingen 301.115354.261327.502356.637283.446324.004329.248341.457298.893275.473249.403530.02565.626596.749398.844385.212344.41289.463108.581266.542110.379265.25267.742308.67335.1327.723325.358230.176
Belastingvorderingen 018.5178.959145.572145.844179.309173.11567.009086.10482.982-2,353.391-2,298.1230000041.52739.9080000-429.283000
Overige niet-vlottende activa 2,143.918946.68312,781.12810,817.53210,037.539,348.382711.507260.289304.774373.482289.1792,846.6192,815.5751.06934.09769.24129.212-676.057-724.218-768.793-110.379-265.252-67.742-308.6794.183000
Totaal niet-vlottende activa 3,412.87615,715.49317,875.17615,305.10814,414.12713,703.06413,890.5537,963.8711,552.8588,476.1828,396.9134,445.2744,447.6911,394.9571,068.841,038.8881,041.26399.873107.349104.307790.257523.678723.973528.439528.05000
Totaal activa 17,535.02417,976.78318,102.03515,480.6314,707.63614,060.91814,183.0398,231.4028,453.9548,754.6738,637.3284,678.954,609.0421,462.6231,172.3261,093.3361,111.1361,153.2841,093.01983.2621,013.539906.505893.524915.883904.242859.395816.89523.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 596.994615.75623.843572.846603.663487.405403.896145.374156.831342.374293.846166.385158.68482.05540.80851.7161.9388.29868.68120.96618.44915.0861.126-1.312-2.6557.2277.0138.79
Kortlopende schulden 01,280.42700000000000233.16141.7519.12476.72562.700052.296000000
Belastingschulden 0000000000044.05624.95944.78341.44343.83157.97265.15221.9350.6343.9091.81000000
Uitgestelde opbrengsten 000000-3.73000000000000001.81000000
Overige kortlopende verplichtingen 197.612-1,088.095228.257203.859186.514181.346172.154227.445214.18102.715100.07823.6945.7-210.84620.07312.2414.2750-90.616-21.679.64217.1586.87461.31254.65519.77320.9876.21
Totaal kortlopende verplichtingen 794.606808.082852.1776.705790.177668.751576.05372.819374.007445.089393.924234.131229.343149.152244.074126.906200.90220262.4250.634102103886052272815
Langlopende verplichtingen:
Langetermijnschulden 8,039.0026,865.4338,024.056,938.0536,847.4646,141.6016,378.6914,265.2674,440.8144,480.2094,088.5462,067.411,968.397356.209255.232307.206250.149254.051278.653246.113294.731229.637247.923312.305305.468317.351271.298207.6
Uitgestelde opbrengsten niet-vlottend 00000000.9650.96506.071000000040.49000000000
Uitgestelde belastingverplichtingen niet-vlottend 147.461180.65178.959000067.00990.825082.982000000041.52739.90840.34929.53206.6080000
Overige niet-vlottende verplichtingen 119.831267.0110183.286197.248210.742398.243113.957122.203240.419186.221167.242153.9797.70011.94918.8330000000-0.351-0.2980
Totaal niet-vlottende verplichtingen 8,306.2947,313.0948,241.2917,120.4747,039.096,443.9946,776.9344,447.1984,654.8074,748.1564,352.6692,242.0882,122.376597.069255.232215.33262.098272.884390.835371.471293209235296290317271208
Totaal passiva 9,100.99,269.7869,093.3917,897.1797,829.2677,112.7457,352.9844,820.0175,028.8145,193.2454,746.5932,476.2192,304.188738.521499.306453.236463512.923453.26372.105392.064308.014319.668354.63340.565349.931306.283228.8
Eigen vermogen:
Preferente aandelen 000000000000000000000002.6382.3234.04600
Gewone aandelen 0.2190.2190.2110.190.1750.1720.1650.1070.1060.1040.1050.0690.06900000745.969740.593734.658709.724690.594664.751644.749526.13517.7550
Ingehouden winsten 0-2,891.424-2,486.633-2,224.231-1,850.935-1,557.374-1,143.992-1,052.0640-738.652-465.606-318.577-172.182-95.046-145.769-138.442-116.99-117.051-114.008-131.178-114.431-112.57-111.97-97.2-74.26-11.56-2.8030
Overige gereserveerde algehele resultaten -250.232-202.471-226.768-171.86-197.892-218.404-219.23-189.355-1,098.4-116.251-44.93526.693.709-8.507-3.463-0.681-0.8282.7380.0243.1723.82.496-2.065-3.432-3.125-0.91-0.7190
Overige totale aandeelhoudersvermogen 8,679.70811,794.11111,706.8369,994.0338,925.3658,717.5358,201.434,433.5734,399.6514,282.0424,293.452,196.2332,155.55779.071774.245764.756765.954748.5840-5.119-5.366-3.011-4.187-4.454-7.614-5.1060300.9
Totaal eigen vermogen van aandeelhouders 8,429.6958,700.4358,993.6467,581.7856,876.7136,941.9296,824.2783,192.2613,301.6673,427.2433,750.8891,904.4151,987.146682.581625.013625.633648.136634.271631.985607.468620.068596.639572.372559.665562.073512.6514.233300.9
Totaal eigen vermogen 8,434.1248,706.9979,008.6447,583.4516,878.3696,948.1736,830.0553,411.3853,425.143,561.4283,890.7352,202.7312,257.323724.102673.02632.408648.136640.361639.75611.157621.475598.491573.856560.459562.875509.464510.607294.6
Totaal passiva en aandeelhoudersvermogen 17,535.02417,976.78318,102.03515,480.6314,707.63614,060.91814,183.0398,231.4028,453.9548,754.6738,637.3284,678.954,609.0421,462.6231,172.3261,093.3361,111.1361,153.2841,093.01983.2621,013.539906.505893.524915.883904.242859.395816.89523.4