NYSE:AVB
AvalonBay Communities, Inc.
- Stock
Last Close
233.17
24/09 20:00
Market Cap
32.22B
Beta: 0.93
Volume Today
626.21K
Avg: 901.61K
PE Ratio
26.15
PFCF: 17.12
Dividend Yield
3.86%
Payout:98.16%
Preview
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Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | 366.27M - | 697.33M 90.39% | 741.73M 6.37% | 1.03B 39.36% | 876.66M 15.19% | 974.17M 11.12% | 786.10M 19.31% | 827.71M 5.29% | 1.00B 21.34% | 1.14B 13.15% | 927.16M 18.42% | |
depreciation and amortization | 560.22M - | 442.68M 20.98% | 477.92M 7.96% | 531.43M 11.20% | 584.15M 9.92% | 631.20M 8.05% | 661.58M 4.81% | 707.33M 6.92% | 758.60M 7.25% | 814.98M 7.43% | 816.97M 0.24% | |
deferred income tax | -171.05M - | -243.75M 42.50% | -184.89M 24.15% | -424.47M 129.58% | -260.43M 38.65% | -354.93M 36.29% | -152.88M 56.93% | -330.16M 115.96% | -607.84M 84.10% | -1.66B - | ||
stock based compensation | 15.16M - | 13.93M 8.13% | 15.32M 10.01% | 15.08M 1.56% | 17.92M 18.82% | 20.28M 13.17% | 25.62M 26.34% | 21.60M 15.68% | 25.50M 18.06% | 33.86M 32.77% | 27.14M 19.85% | |
change in working capital | -23.15M - | 3.57M 115.43% | 24.06M 573.36% | -2.81M 111.66% | 35.83M 1,377.36% | 20.25M 43.48% | -10.50M 151.83% | -25.46M 142.57% | 10.00M 139.26% | 10.01M 0.12% | 17.80M 77.80% | |
accounts receivables | ||||||||||||
inventory | ||||||||||||
accounts payables | ||||||||||||
other working capital | -23.15M - | 3.57M 115.43% | 24.06M 573.36% | -2.81M 111.66% | 35.83M 1,377.36% | 20.25M 43.48% | -10.50M 151.83% | -25.46M 142.57% | 10.00M 139.26% | 10.01M 0.12% | 17.80M 77.80% | |
other non cash items | -22.95M - | -27.12M 18.20% | -17.39M 35.88% | -9.46M 45.59% | 2.13M 122.51% | 10.14M 376.10% | 11.88M 17.15% | 18.60M 56.53% | 12.55M 32.51% | -573.36M 4,668.22% | 1.44B 350.72% | |
net cash provided by operating activities | 724.50M - | 886.64M 22.38% | 1.06B 19.19% | 1.14B 8.21% | 1.26B 9.86% | 1.30B 3.57% | 1.32B 1.59% | 1.22B 7.73% | 1.20B 1.35% | 1.42B 18.18% | 1.57B 10.10% | |
investments in property plant and equipment | -26.61M - | -52.83M 98.48% | -55.87M 5.75% | -72.85M 30.41% | -73.99M 1.56% | -86.93M 17.49% | -140.89M 62.07% | -137.04M 2.74% | -153.24M 11.82% | -174.71M 14.01% | -197.27M 12.92% | |
acquisitions net | 16.16M - | 297.47M 1,740.30% | 282.16M 5.14% | 532.72M 88.80% | 503.04M 5.57% | -11.02M 102.19% | -10.18M 7.57% | -68K 99.33% | -53.54M 78,629.41% | -14.27M 73.35% | -2.98M 79.11% | |
purchases of investments | -1.48B - | -880.25M 40.66% | -1.48B 68.28% | -1.50B 1.37% | -1.22B 18.80% | |||||||
sales maturities of investments | 424.82M - | 825.23M 94.25% | 977.20M 18.42% | 1.06B 8.00% | 467.35M 55.72% | |||||||
other investing activites | -1.17B - | -1.06B 9.34% | -1.43B 34.33% | -1.50B 5.01% | -1.39B 6.87% | -498.70M 64.24% | 15.79M 103.17% | 12.70M 19.57% | 86.82M 583.68% | 74.81M 13.83% | 14.90M 80.08% | |
net cash used for investing activites | -1.18B - | -816.76M 30.85% | -1.20B 46.86% | -1.04B 13.52% | -965.38M 6.94% | -596.65M 38.20% | -1.19B 100.10% | -179.43M 84.97% | -624.05M 247.79% | -560.42M 10.20% | -937.40M 67.27% | |
debt repayment | -2.21B - | -182.86M 91.73% | -850.96M 365.37% | -669.41M 21.33% | -1.63B 143.79% | -515.10M 68.44% | -227.57M 55.82% | -1.09B 376.95% | -571.71M 47.33% | -143.33M 74.93% | -401.21M 179.92% | |
common stock issued | 4.70M - | 346.13M 7,259.86% | 690.18M 99.40% | 15.53M 97.75% | 111.09M 615.53% | 52.26M 52.96% | 409.73M 684.00% | 3.46M 99.15% | 31.87M 820.15% | 20.02M 37.19% | 496.71M 2,381.05% | |
common stock repurchased | 834.93M - | 603M 27.78% | 873.09M 44.79% | 1.12B 28.57% | 1.90B 69.59% | 595.38M 68.72% | 480.05M 19.37% | -183.88M 138.30% | 1.10B 697.49% | -16.99M 101.55% | -1.91M 88.75% | |
dividends paid | -526.40M - | -593.93M 12.83% | -655.66M 10.39% | -727.20M 10.91% | -773.12M 6.31% | -805.71M 4.22% | -840.13M 4.27% | -883.64M 5.18% | -888.70M 0.57% | -890.03M 0.15% | -922.66M 3.67% | |
other financing activites | -98.29M - | -14.12M 85.63% | -22.84M 61.76% | -33.05M 44.68% | -28.57M 13.54% | -15.34M 46.33% | -40.26M 162.54% | 1.30B 3,316.81% | -18.97M 101.46% | 359.28M 1,993.82% | -2.31M 100.64% | |
net cash used provided by financing activities | -2.00B - | 158.22M 107.93% | 33.81M 78.63% | -291.64M 962.60% | -418.95M 43.65% | -688.50M 64.34% | -218.19M 68.31% | -854.26M 291.53% | -348.86M 59.16% | -671.06M 92.36% | -831.38M 23.89% | |
effect of forex changes on cash | -37.02M - | |||||||||||
net change in cash | -2.45B - | 228.10M 109.30% | -108.95M 147.76% | -185.51M 70.27% | -128.07M 30.96% | 15.96M 112.46% | -90.25M 665.55% | 185.92M 306.00% | 230.26M 23.85% | 190.46M 17.28% | -203.28M 206.74% | |
cash at beginning of period | 2.73B - | 281.36M 89.71% | 509.46M 81.07% | 400.51M 21.39% | 329.98M 17.61% | 201.91M 38.81% | 217.86M 7.90% | 127.61M 41.42% | 313.53M 145.69% | 543.79M 73.44% | 734.25M 35.02% | |
cash at end of period | 281.54M - | 509.46M 80.95% | 400.51M 21.39% | 214.99M 46.32% | 201.91M 6.09% | 217.86M 7.90% | 127.61M 41.42% | 313.53M 145.69% | 543.79M 73.44% | 734.25M 35.02% | 530.96M 27.69% | |
operating cash flow | 724.50M - | 886.64M 22.38% | 1.06B 19.19% | 1.14B 8.21% | 1.26B 9.86% | 1.30B 3.57% | 1.32B 1.59% | 1.22B 7.73% | 1.20B 1.35% | 1.42B 18.18% | 1.57B 10.10% | |
capital expenditure | -26.61M - | -52.83M 98.48% | -55.87M 5.75% | -72.85M 30.41% | -73.99M 1.56% | -86.93M 17.49% | -140.89M 62.07% | -137.04M 2.74% | -153.24M 11.82% | -174.71M 14.01% | -197.27M 12.92% | |
free cash flow | 697.89M - | 833.82M 19.48% | 1.00B 20.04% | 1.07B 6.97% | 1.18B 10.43% | 1.21B 2.70% | 1.18B 2.74% | 1.08B 8.33% | 1.05B 3.02% | 1.25B 18.79% | 1.37B 9.70% |
All numbers in USD (except ratios and percentages)