Boston Properties, Inc.

NYSE:BXP

70.29 (USD) • At close January 14, 2025
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operating Activities:
Net Income 190.2151,020.584631.9321,018.691651.999712.563562.481569.977799.918526.057711.67295.262313.826190.327274.499125.2321,324.69873.635438.292284.017365.322444.937208.032153.431119.77693.11239.756
Depreciation & Amortization 832.753752.202720.852685.985680.176645.649617.547694.403639.542628.573565.397454.044439.184338.371321.681304.147288.978276.759267.641252.941210.477186.429150.163133.15120.05975.41838.773
Deferred Income Tax 00-69.699-505.39216.252-148.191-10.975-123.214-367.706-269.437-93.875-73.964-44.108-30.90914.2179.8920000-2.22-1.187-0.5780000
Stock Based Compensation 052.02650.8644.14240.95840.11735.36132.91129.18328.09945.15529.67929.67232.85226.63623.10600002.221.1870.5780000
Change In Working Capital -162.899-207.589-224.086-109.97-230.474-121.196-295.685-102.151-259.255-178.396-67.079-105.203-181.607-205.578-71.807-113.405-50.092-118.248-124.317-149.066-46.337-66.223-17.869-29.0443.1850.007-17.947
Accounts Receivables 0-7.6214.8222.55-24.87629.2042.4333.688-46.32612.869-0.44323.1550000-31.522-56.887-97.937-72.56-53.27924.135-29.55-13.501-37-36.1-5.3
Inventory 00-186.081-48.689-100.943-21.011-212.365-27.679-97.939-99.525-23.631-65.663000013.178-5.234-25.219-10.364-0.73327.35122.725-25.59525.391-6.556-17.702
Accounts Payables 41.696-22.77720.025-4.05912.6271.35310.48215.666-6.313.90313.1083.8546.66-32.83914.84818.075-18.57-61.361-26.38-76.5066.94221.12511.681-15.54340.336.15.6
Other Working Capital -204.595-177.191-62.85-79.772-117.282-130.742-96.235-93.826-108.68-95.643-56.113-66.549-188.267-172.739-86.655-131.48-13.1785.23425.21910.3640.733-138.834-22.72525.595-25.5066.563-0.545
Other Non Cash Items 441.451-334.82423.36823.38422.25421.303-1.284-35.052-42.271-39.343-383.34243.13149.36150.8352.16741.936-934.198-504.167-109.36741.614-41.187-127.76379.07782.12760.34646.75-1.513
Operating Cash Flow 1,301.521,282.3991,133.2271,156.841,181.1651,150.245907.4451,036.874799.411695.553777.926642.949606.328375.893617.376560.908629.378527.979472.249429.506488.275437.38419.403339.664303.366215.28759.069
Investing Activities:
Investments In Property Plant And Equipment 0-398.093-13.614-2.551-432.387-399.805-427.813-812.4350000-445.997-860.519-442.844-575.974-1,132.594-642.024-394.757-277.684-422.273-1,432.302-1,322.565-604.164-663.841-1,697.449-554.611
Acquisitions Net 0-277.581-80.363-172.436-87.392-345.717-109.015-520.088-38.207-52.05279.468-6.214-17.97-12.904-7.835-896.0270000-422.273-1,432.302-1,322.565-604.164-10.84-43.644-3.143
Purchases Of Investments -2.187-2.404-4.1752.551-2.132-0.902-1.669-1.161-668.909-1.78-1.558-1.235-0.816-22.51.644288.628-30.374-282.764-37.50-4.495-4.158-7.163-18.879-6.500
Sales Maturities Of Investments 04.90217.7892.551231.175455.409319.85-3.663000043.4442.1494.07814.697023.56639.8130000674.876676.94400
Other Investing Activites -1,191.494-929.626-959.593-443.834-724.355-752.257-787.138.29426.89-611.292-610.55-1,270.583331.243-267.5-1.644-1471,739.8991,130.978749.049106.67946.5371,851.4791,348.671-21.032-653.49-438.1225.167
Investing Cash Flow -1,193.681-1,602.802-1,039.956-613.719-1,015.091-1,098.876-897.814-1,329.057-280.226-665.124-532.64-1,278.032-90.096-1,161.274-446.601-1,315.676576.931229.756356.605-171.01497.496-1,017.283-1,303.622-573.363-657.727-2,179.215-552.587
Financing Activities:
Debt Repayment 1,317.7271,334.557-167.1051,230.957802.194730.946647.505656.92-53.77-1,290.529720.97412.218713.928146.336557.208675.353730.504-424.252-185.939-111.214-362.59832.026957.12385.149625.1631,269.146-263.137
Common Stock Issued 0024.2143.27713.7100.24100.7991.9230247.253448.70422.593850.62437.4123.479045.02422.0769.0289.77412.66516.3820.803819.103839.209
Common Stock Repurchased 00-20000-0.730-0.271-0.633-17.373-43.404-18.329000000-1.8460-69.0280-2.7220000
Dividends Paid -687.809-685.019-683.753-688.904-666.294-587.628-526.578-671.626-1,226.199-840.264-451.118-372.899-332.597-328.051-357.328-1,235.767-1,143.47-391.613-702.989-342.815-313.811-297.331-276.538-209.723-181.493-127.307-17.026
Other Financing Activities 137.998-93.481-484.798-61.008-262.989-60.865-65.822-59.915-279.3761,496.383808.351-32.719-2.007-3.365-13.85612.361-35.689522.42239.052-9.87558.041-7.35810.801610.813-93.077-2.408-58.623
Financing Cash Flow 767.916556.057-1,311.442484.322-113.37982.45355.346-74.621-1,558.546-632.4871,077.873-146.147828.028-184.6041,036.648-510.643-425.176-293.443-806.702-41.834-618.36537.111701.329502.621354.231,958.534512.59
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000000000
Net Change In Cash 875.755235.654-1,218.1711,027.44352.695133.82277.853-366.804-1,039.361-602.0581,323.159-781.231,344.26-969.9851,207.423-1,265.411781.133464.29222.152216.658-32.589-42.792-182.89268.922-0.131-5.39419.072
Cash At End Of Period 1,612.567736.812501.1581,719.329691.886639.191434.767356.914723.7181,763.0792,365.1371,041.9781,823.208478.9481,448.933241.511,506.921725.788261.496239.34422.68655.27598.067280.95712.03512.16628.07