bf/NYSE:CPT_icon.jpeg

NYSE:CPT

Camden Property Trust

  • Stock

USD

Last Close

106.50

20/05 20:00

Market Cap

10.22B

Beta: 0.80

Volume Today

1.25M

Avg: 853.79K

PE Ratio

25.44

PFCF: 27.24

Dividend Yield

4.24%

Payout:106.13%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
346.29M
-
301.31M
12.99%
258.26M
14.29%
455.38M
76.33%
200.86M
55.89%
160.69M
20.00%
224.27M
39.56%
128.58M
42.67%
312.38M
142.94%
661.51M
111.77%
403.31M
39.03%
depreciation and amortization
219.65M
-
235.63M
7.28%
257.08M
9.10%
250.15M
2.70%
263.97M
5.53%
300.95M
14.01%
336.27M
11.74%
367.16M
9.19%
420.69M
14.58%
577.02M
37.16%
574.81M
0.38%
deferred income tax
-198.84M
-
-157.76M
20.66%
-8.95M
94.33%
364.44M
4,173.31%
-4.44M
101.22%
-4.57M
2.88%
-387.16M
-
stock based compensation
14.06M
-
15.55M
10.59%
17.67M
13.64%
20.12M
13.86%
17.55M
12.80%
16.75M
4.55%
15.23M
9.04%
13.94M
8.49%
15.40M
10.44%
12.82M
16.72%
14.51M
13.18%
change in working capital
19.58M
-
20.43M
4.37%
-5.71M
127.95%
281K
104.92%
-4.85M
1,824.56%
9.55M
297.13%
38.09M
298.76%
9.51M
75.05%
3.52M
62.99%
3.91M
11.23%
17.98M
359.37%
accounts receivables
5.90M
-
877K
-
inventory
20.76M
-
6.17M
-
accounts payables
-8.14M
-
19.30M
337.11%
-15.53M
180.47%
-2.31M
85.13%
-2.30M
0.39%
-4.13M
79.70%
19.71M
576.97%
-62K
100.31%
14.79M
23,948.39%
-2.99M
120.22%
13.64M
556.15%
other working capital
1.05M
-
1.14M
8.28%
2.77M
143.67%
2.59M
6.60%
-2.55M
198.30%
13.69M
637.55%
18.38M
34.31%
9.57M
47.95%
-11.27M
217.78%
6.90M
161.26%
4.34M
37.19%
other non cash items
3.55M
-
3.35M
5.44%
-95.12M
2,935.23%
-647.31M
580.51%
-38.44M
94.06%
20.37M
152.99%
-58.28M
386.07%
131K
100.22%
-174.52M
133,318.32%
-510.55M
192.55%
171.50M
133.59%
net cash provided by operating activities
404.29M
-
418.53M
3.52%
423.24M
1.13%
443.06M
4.68%
434.66M
1.90%
503.75M
15.90%
555.60M
10.29%
519.32M
6.53%
577.47M
11.20%
744.71M
28.96%
794.95M
6.75%
investments in property plant and equipment
-356.81M
-
-503.33M
41.06%
-425.57M
15.45%
-342.95M
19.41%
-299.09M
12.79%
-359.23M
20.11%
-407.56M
13.45%
-427.25M
4.83%
-428.71M
0.34%
-449.43M
4.83%
-410.93M
8.57%
acquisitions net
-1.89M
-
-1M
46.98%
367.34M
-
375.24M
-
-1.07B
384.10%
purchases of investments
-100M
-
-436.31M
-
-629.96M
-
-70.54M
88.80%
sales maturities of investments
100M
-
68.97M
-
2.20M
96.81%
254.72M
11,467.53%
70.54M
72.31%
290.66M
312.08%
other investing activites
99.72M
-
178.44M
78.95%
132.27M
25.88%
1.13B
756.88%
9.33M
99.18%
-281.69M
3,118.55%
-384.89M
36.63%
-4.56M
98.82%
-375.68M
8,143.95%
59.30M
115.78%
-6.86M
111.56%
net cash used for investing activites
-258.99M
-
-325.89M
25.83%
-293.31M
10.00%
690.41M
335.39%
-189.75M
127.48%
-640.92M
237.76%
-792.45M
23.64%
-429.60M
45.79%
-804.39M
87.24%
-1.46B
81.03%
-127.13M
91.27%
debt repayment
-1.18B
-
-2.28B
92.90%
-253.04M
88.91%
-3.08M
98.78%
-279.00M
8,967.24%
-381.44M
36.72%
-746.73M
95.77%
-502M
32.77%
-1.07B
-
-1.81B
70.24%
common stock issued
40.04M
-
66.22M
65.38%
445.04M
-
837.54M
88.20%
353.21M
57.83%
759.21M
-
516.76M
31.93%
common stock repurchased
1.20B
-
2.50B
107.09%
465M
-
-14.67M
103.15%
2.11B
14,464.46%
dividends paid
-220.08M
-
-236.51M
7.47%
-253.13M
7.02%
-663.36M
162.07%
-280.76M
57.68%
-298.00M
6.14%
-317.25M
6.46%
-333.36M
5.08%
-343.04M
2.90%
-396.82M
15.68%
-434.88M
9.59%
other financing activites
4.15M
-
884K
78.71%
232.94M
26,250.79%
-237.80M
202.08%
-463.20M
94.79%
-340.46M
26.50%
-1.18B
245.26%
1.14B
197.21%
5.20M
99.54%
1.06B
20,203.67%
1.83B
73.52%
net cash used provided by financing activities
-154.18M
-
43.48M
128.20%
-273.23M
728.38%
-904.24M
230.94%
-112.92M
87.51%
-197.03M
74.48%
220.74M
212.04%
307.32M
39.22%
421.37M
37.11%
109.93M
73.91%
-417.21M
479.53%
effect of forex changes on cash
719.36M
-
net change in cash
-8.88M
-
136.12M
1,633.79%
-143.30M
205.27%
229.24M
259.97%
131.98M
42.43%
-334.20M
353.22%
-16.10M
95.18%
397.03M
2,565.44%
194.45M
51.03%
-601.54M
409.36%
250.61M
141.66%
cash at beginning of period
26.67M
-
17.79M
33.28%
153.92M
765.00%
16.59M
89.22%
245.83M
1,381.95%
377.81M
53.69%
43.60M
88.46%
27.50M
36.93%
424.53M
1,443.81%
618.98M
45.80%
17.44M
97.18%
cash at end of period
17.79M
-
153.92M
765.00%
10.62M
93.10%
245.83M
2,215.40%
377.81M
53.69%
43.60M
88.46%
27.50M
36.93%
424.53M
1,443.81%
618.98M
45.80%
17.44M
97.18%
268.05M
1,437.14%
operating cash flow
404.29M
-
418.53M
3.52%
423.24M
1.13%
443.06M
4.68%
434.66M
1.90%
503.75M
15.90%
555.60M
10.29%
519.32M
6.53%
577.47M
11.20%
744.71M
28.96%
794.95M
6.75%
capital expenditure
-356.81M
-
-503.33M
41.06%
-425.57M
15.45%
-342.95M
19.41%
-299.09M
12.79%
-359.23M
20.11%
-407.56M
13.45%
-427.25M
4.83%
-428.71M
0.34%
-449.43M
4.83%
-410.93M
8.57%
free cash flow
47.48M
-
-84.80M
278.62%
-2.34M
97.25%
100.11M
4,385.57%
135.57M
35.42%
144.52M
6.60%
148.04M
2.44%
92.07M
37.81%
148.75M
61.56%
295.28M
98.50%
384.02M
30.05%

All numbers in USD (except ratios and percentages)