Ventas, Inc.

NYSE:VTR

62.2 (USD) • At close September 19, 2024
Overview | Financials

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

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Operating Activities:
Net Income -40.973-40.93156.559441.185439.297415.9811,361.112651.49419.222477.186454.889361.775363.261249.729269.36226.288282.318132.703130.583122.27162.83776.78351.888-61.24542.53534.809137.76248.00523.202
Depreciation & Amortization 1,165.8611,210.7551,215.1121,130.4821,068.605938.525904.006909.281979.111828.155753.136724.832459.704214.707207.611235.719237.501119.65388.00254.3439.5141.24940.36543.60342.80329.049123.86599.53389.478
Deferred Income Tax -15.269-21.348-1.224-101.985-58.918-43.026-63.599-34.227-42.384-9.431-11.828-6.286-31.137-32.301-87.572-39.026-182.9640000000021.15153.164-34.814-23.57
Stock Based Compensation 30.98730.71531.96621.48733.92329.96326.54320.95819.53720.99420.65320.78419.34614.07811.8829.9767.493000000000000
Change In Working Capital -53.598-40.785-43.772121.828-40.29-55.715-40.045-35.41953.003-5.30523.805-10.847-28.843-3.74614.835-15.04155.245.24724.361-0.1696.21515.932-1.5244.3259.35610.755-65.299-56.659-92.448
Accounts Receivables 00000000000000000-41.6844.724-9.06710.486-0.5184.72-3.515-27-0.1000
Inventory 00000000000000000-0.26419.9162.75300184.23802.443.355-2.3091.284-3.478
Accounts Payables -6.4057.19716.721189.78526.666-37.509-35.259-43.583-9.308-18.5817.689-24.572-20.1173.1880-12.6046.93119.6378.898-4.27116.45-5.4827.8429.45.5000
Other Working Capital -47.193-47.982-60.493-67.957-66.956-18.206-4.7868.16462.31113.2756.11613.725-8.726-6.93414.835-2.44155.240.264-19.916-2.753-6.215-15.932-185-4.3254.556-38-62.99-57.943-88.97
Other Non Cash Items 107.535-18.243-232.525-162.821-4.83495.739-745.837-144.626-36.722-56.754-45.9-97.442-9.1345.1555.985-53.7410.222-18.736-19.182-26.483-71.196-17.579-10.83698.6558.886-12.2321.439127.474116.975
Operating Cash Flow 1,194.5431,120.1631,026.1161,450.1761,437.7831,381.4671,442.181,367.4571,391.7671,254.8451,194.755992.816773.197447.622422.101364.175399.81238.867223.764149.958137.366116.38579.89385.338103.5886.757270.931183.539113.637
Investing Activities:
Investments In Property Plant And Equipment -259.415-454.069-432.969-528.647-560.647-462.734-431.643-261.103-227.161-194.442-177.355-183.432-629.669-294.296-59.513-70.16-1,354.726-490.679-589.552-323.931-0.258-0.308-1.1170-0.299-14.581-281.672-135.027-136.893
Acquisitions Net 31.746-83.652-129.291-286.822-3.855-47.007-61.224.48-56.986-9.115-14.331-3.934550.68738.30836.7160001.4160028.620000000
Purchases Of Investments -523.328-792.919-1,746.526-861.046-2,624.09-873.324-1,773.108-1,731.394227.161-96.689177.355-276.419-628.133-38.725-13.803-63.680-196.598-47.33300-71.8810000-4.513-0.445-12.779
Sales Maturities Of Investments 494.218113.8161,188.5291,163.3681,165.1641,265.332960.971620.64376.821.6895.49337.5243.22919.29113.028023.576195.41130.3943.580.2056.956.120008.68778.1514.715
Other Investing Activites 17.576357.606396.117667.442438.129834.237-483.654-973.54-2,443.506-1,776.483-1,273.922-1,743.404-533.553-26.49821.826-2.416157.7749.892-9.96621.656159.7542.479-2.2435.3590.6713.673-956.162-23.665-66.685
Investing Cash Flow -239.203-859.218-724.14154.295-1,585.299324.496-976.517-1,234.643-2,423.692-2,055.04-1,282.76-2,169.689-997.439-301.92-1.746-136.256-1,173.376-481.974-615.041-298.695159.701-34.142.765.3590.371-0.908-1,233.66-80.986-211.642
Financing Activities:
Debt Repayment -541.94-602.57-2,109.617-568.407-3,193.807-594.643-127.348-1,057.75-2,159.053-1,396.515-811.025-1,193.023-1,388.962-527.454-834.701-416.896-1,426.769-20.96-241.267-72.361-104.553-135.018-269.949-100.478-132.958-66.635-152.568-33.086-474.896
Common Stock Issued 109.0598.691617.43855.362942.085073.5961,286.68491.023242.107141.343342.469299.8470299.201408.541,045.7137.465108.78381.88222.60497.1550.5030.0220.0040.15513.83254.48973.014
Common Stock Repurchased 0-1.487-0.096-0.575-2.203-1.370893.2183,912.747002,795.3431,881.0920365.682213.6281,460.418449.005650.200620.32250173.1430-81.651-55.305-91.268
Dividends Paid -723.559-720.319-686.888-928.809-1,157.72-1,127.143-827.285-1,024.968-1,003.413-875.614-802.123-728.546-523.602-344.167-324.268-288.849-286.188-160.598-125.843-103.523-80.247-50.125-65.266-42.434-26.489000-2.779
Other Financing Activities -362.131,031.7571,620.697142.4083,572.319-40.15128.614.542-211.182237.156106.094-17.329-20.093640.1693.9063.3312.475-32.2-2.32164-55.222-630.698-41.746021.605-19.0312,306.45319.128590.098
Financing Cash Flow -543.749-283.928-558.466-1,300.021160.674-1,761.937-671.327101.7221,030.122758.057114.9961,198.914248.282-231.452-490.18-80.247805.649242.712389.55369.998-217.418-98.386-151.458-142.8935.305-85.511932.736-25.26994.169
Other Information:
Effect Of Forex Changes On Cash 1.257-2.8691.4471.0881.48-0.8150.312-0.852-0.5222.67-0.0830.06-0.0450.1650.410.806-4.99500000000-85.849000
Net Change In Cash 392.717-25.852-255.043305.53814.638-56.789-205.352233.684-2.325-39.46826.90822.10123.995-85.585-69.415148.47827.088-0.395-1.724-78.73979.649-16.141-68.805-52.193139.256-85.511-29.99377.284-3.836
Cash At End Of Period 563.462170.745196.597451.64146.102131.46481.355286.70753.02355.34894.81667.90845.80721.812107.397176.81228.3341.2461.6413.36582.1042.45518.59687.401139.5940.33882.473112.46635.182