AvalonBay Communities, Inc.

NYSE:AVB

230.21 (USD) • At close November 12, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 927.1621,136.4381,004.356827.706786.103974.175876.661,033.708741.733697.327366.271427.63441.37174.079154.274411.487358.16278.399322.378219.745271.525173.618248.997210.604172.27694.43438.94120.13711.57.5
Depreciation & Amortization 816.965814.978758.596707.331661.578631.196584.15531.434477.923442.682560.215256.026250.269232.942218.286199.452181.725172.991170.401167.599157.98148.574133.685126.027113.72380.22427.00918.68913.78.4
Deferred Income Tax -1,661.0720-607.835-330.158-152.881-354.932-260.433-424.473-184.892-243.745-171.049-153.575000000000000000000
Stock Based Compensation 30.77433.86425.50521.60325.62120.2817.9215.08215.32113.92715.168.707000000000000000000
Change In Working Capital 17.79610.0099.997-25.463-10.49720.25135.83-2.80524.0593.573-23.1490.205-3.648-16.35411.807-18.27460.09225.23628.7522.86-23.24243.054-30.922-8.44421.640.762-6.623-0.204-0.4-3.8
Accounts Receivables 00000000000000000-3.0414.594-10.528-7.02518.54-20.386-19.915-0.6-2.4-7.3-2.60.6-1.3
Inventory 00000000000000000458.618270.375252.43248.379306.527251.539220.778200.8227.16232.97724.79600
Accounts Payables 0000000000000000015.6599.78121.958-4.5962.9874.92515.69311.4235.73.6-0.8-0.6
Other Working Capital 17.79610.0099.997-25.463-10.49720.25135.83-2.80524.0593.573-23.1490.205-3.648-16.35411.807-18.27460.092-446-256-241-260-285-267-225-190-207-38-26-0.2-1.9
Other Non Cash Items 1,437.504-573.35712.55118.59611.8810.1412.13-9.462-17.39-27.123-22.9471.826-258.6-58.561-5.767-205.81-144.152-124.683-214.89-134.526-166.448-57.137-43.037-33.369-57.533-24.1915.5231.601-2.21.9
Operating Cash Flow 1,565.4971,421.9321,203.171,219.6151,321.8041,301.1111,256.2571,143.4841,056.754886.641724.501540.819429.391332.106378.6386.855455.825351.943306.639275.678239.815308.109308.723294.818250.066191.22964.8540.22322.614
Investing Activities:
Investments In Property Plant And Equipment -197.274-174.705-153.235-137.036-140.892-86.932-73.99-72.852-55.865-52.825-26.615-26.528-688.568-462.235-586.843-902.327-1,141.706-832.337-899.662-982.196-726.907-1,078.332-484.604-432.408-516.261-718.338-1,150.271-289.423-104.7-122.9
Acquisitions Net -2.981-14.269-53.536-0.068-10.183-11.017503.039532.717282.163297.46616.1646.586-46.27517.192000-74.9240-128.2380-106.300000000
Purchases Of Investments -1,219.399-1,501.662-1,481.299-880.253-1,483.403-1,493.29-1,484.347-1,628.2070000-1.701-73.03900-15.12700000000-0.4370000
Sales Maturities Of Investments 467.3491,055.404977.197825.225424.82936.449503.039532.717000014.10942.32977.754133.25900469.73700000000017.50
Other Investing Activites 14.90174.81386.8212.69915.789-498.702-1,394.43-1,497.217-1,425.815-1,061.401-1,170.723-603.444279.294176.817175.53502.759347.586395.89410.164858.751760.842744.301225.213149.824251.64299.546573.10172.4240-66.5
Investing Cash Flow -937.404-560.419-624.053-179.433-1,193.869-596.651-965.381-1,037.352-1,199.517-816.76-1,181.174-623.386-443.141-298.936-333.559-266.309-809.247-511.371-19.761-251.68333.935-440.331-259.391-282.584-264.619-619.229-577.17-216.999-87.2-189.4
Financing Activities:
Debt Repayment -397.24400000000000000000000000000000
Common Stock Issued 496.70620.0231.8743.464409.72552.261111.09315.526690.184346.1344.7032,430.191,049.835381.365108.867.433621.02926.55136.61154.031146.93422.29650.91236.20353.275160.771379.915184.25148.3200
Common Stock Repurchased -1.911-16.9891,098.643-183.876480.054-10.5561,903.6261,122.488873.0880834.92870002501,241.14-142.159-257.929113.84926.269181.743-203.601-121.802-218.995207.603124.6558.1555174.221212.379.1
Dividends Paid -922.657-889.607-888.344-883.212-839.646-805.239-773.117-727.197-655.658-593.643-526.399-365.9-318.425-298.312-283.767-279.192-271.042-234.958-215.391-209.095-202.416-207.45-203.214-185.509-175.758-114.394-42.795-26.052-17.8-9.5
Other Financing Activities -6.272359.276-18.9711,295.184-40.26347.013-28.573-33.047-22.841331.726-98.289-73.944-15.111-6.585-12.7251,015.799301.558276.363-86.558-6.562-14.323408.343368.79-13.06118.755-162.33.469-0.2-4.4-0.1
Financing Cash Flow -831.378-671.056-348.861-854.264-218.185-688.502-418.947-291.64533.81158.224-1,995.4042,199.332326.233167.565-4.285-75.111366.36162.28-282.293-29.471-279.46572.589-33.5837.37913.284433.702514.588176.01961.6178.8
Other Information:
Effect Of Forex Changes On Cash -37.02500000000000000000000000000064.6175.4
Net Change In Cash -203.285190.457230.256185.918-90.2515.958-128.071-185.513-108.953228.105-2,452.0772,116.765312.483200.73540.75645.43512.9382.8524.585-5.476-5.715-59.63315.75249.613-1.2695.7022.268-0.75761.6178.8
Cash At End Of Period 530.96734.245543.788313.532127.614217.864201.906214.994400.507509.46281.5412,733.618616.89306.426105.69165.70621.2228.5676.1061.5827.19613.35772.98657.2347.6218.893.1880.9266.3180.1