VICI Properties Inc.

NYSE:VICI

33.06 (USD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014
Operating Activities:
Net Income 2,554.6221,136.2671,023.158896.208554.281532.11744.53700.0030.004
Depreciation & Amortization 4.2983.1823.0913.7313.8313.6863.1533.032.8822.904
Deferred Income Tax -10.4260-3.932283.57658.143-0.348-0.111-0.111-0.101-0.091
Stock Based Compensation 15.53612.9869.3717.3885.2232.3421.385000
Change In Working Capital -14.01746.446-86.82147.98127.408-29.66192.797-0.1880.1110.253
Accounts Receivables 0000000.1160.116-0.137-0.03
Inventory 0000000.0710.071-0.005-0.054
Accounts Payables 00000010.322-0.0390.0520.419
Other Working Capital -14.01746.446-86.82147.98127.408-29.66182.288-0.3360.201-0.082
Other Non Cash Items -369.004744.515-48.517-355.24433.273-4.054-8.803-0.01-0.0070.003
Operating Cash Flow 2,181.0091,943.396896.35883.64682.159504.082131.6842.7212.8883.073
Investing Activities:
Investments In Property Plant And Equipment -4.035-1.876-2.505-2.768-2.724-0.899-1.969-0.869-0.798-0.017
Acquisitions Net -1,266.905-4,574.53639.61450.051.0440.1860000
Purchases Of Investments -241.139-306.532-39.614-1,427.233-2,252.757-1,713.818-1,136.2000
Sales Maturities Of Investments 217.34289.1919.97359.474901.756421.4340000
Other Investing Activites -1,604.358-4,510.2623.981-3,228.282-8.698152.22-1,136.2-0.8690.0660.006
Investing Cash Flow -2,899.095-9,304.01441.449-4,548.759-1,361.379-1,140.877-1,138.169-0.869-0.732-0.011
Financing Activities:
Debt Repayment -250-600-2,100-1,962.462-1,663.544-690.058-2,350.122-0.051-0.045-0.226
Common Stock Issued 2,480.1053,219.1012,385.7791,539.7481,164.3072,001.493963.782000
Common Stock Repurchased -4.966-6.156-1.734-0.2072,25000000
Dividends Paid -1,583.84-1,219.117-758.79-612.205-503.958-262.6820000
Other Financing Activities 390.4915,436.109-39.4331,529.169-64.139-10.9173,497.406-1.232-1.981-2.742
Financing Cash Flow 1,031.796,829.937-514.1782,879.2191,182.6661,037.8361,147.284-1.283-2.026-2.968
Other Information:
Effect Of Forex Changes On Cash -0.0630000055.687000
Net Change In Cash 313.641-530.681423.621-785.9503.446401.041196.4860.5690.130.094
Cash At End Of Period 522.574208.933739.614315.9931,101.893598.447197.4060.920.3510.221