US Stock MarketDetailed Quotes

DLR Digital Realty Trust Inc

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  • 192.820
  • +2.980+1.57%
Close Nov 25 16:00 ET
  • 191.190
  • -1.630-0.85%
Post 16:18 ET
63.96BMarket Cap156.76P/E (TTM)

Digital Realty Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
58.09%566.52M
23.43%573.21M
0.73%352.28M
-1.48%1.63B
1.29%462.31M
-14.55%358.36M
-8.20%464.39M
25.94%349.73M
-2.52%1.66B
0.99%456.42M
Net income from continuing operations
-94.62%40.13M
-35.43%74.67M
318.14%287.84M
149.87%950.31M
2,513.80%19.89M
212.38%745.94M
81.08%115.65M
-10.50%68.84M
-78.23%380.33M
-99.93%761K
Operating gains losses
103.75%29.68M
-39.22%-132.27M
-1,650.08%-260.71M
-676.60%-870.74M
6.89%30.06M
-389.00%-790.9M
-378.71%-95.01M
-18.30%-14.9M
92.13%-112.12M
102.71%28.12M
Depreciation and amortization
9.36%460M
-1.67%425.34M
2.35%431.1M
7.41%1.69B
-2.24%420.48M
8.21%420.61M
14.75%432.57M
10.22%421.2M
6.14%1.58B
13.53%430.13M
Other non cash items
38.53%-14.18M
-67.81%6.85M
169.39%12.1M
64.59%-32.31M
83.92%-13.08M
-18.81%-23.06M
338.31%21.27M
-194.68%-17.44M
-232.36%-91.25M
-280.31%-81.33M
Change In working capital
113.02%17.93M
94.39%-2.19M
-16.98%-180.59M
-64.87%-379.75M
-219.27%-48.6M
-130.01%-137.69M
-537.80%-39.08M
29.88%-154.38M
29.49%-230.34M
190.34%40.75M
-Change in receivables
117.63%14.59M
-76.71%-210.45M
76.73%-33.03M
42.99%-155.32M
4,086.85%188.45M
-188.79%-82.72M
-49.76%-119.09M
15.90%-141.96M
29.98%-272.45M
103.04%4.5M
-Change in payables and accrued expense
106.07%3.34M
160.30%208.26M
-1,088.25%-147.56M
-632.92%-224.43M
-753.97%-237.05M
-76.08%-54.97M
-9.54%80.01M
75.82%-12.42M
-32.57%42.11M
-64.78%36.25M
Cash from discontinued investing activities
Operating cash flow
58.09%566.52M
23.43%573.21M
0.73%352.28M
-1.48%1.63B
1.29%462.31M
-14.55%358.36M
-8.20%464.39M
25.94%349.73M
-2.52%1.66B
0.99%456.42M
Investing cash flow
Cash flow from continuing investing activities
-194.80%-1.12B
46.82%-281.84M
100.88%6.62M
76.27%-1.12B
-4.63%-1.02B
151.32%1.18B
25.22%-530M
-4.16%-749.01M
-342.62%-4.7B
-922.61%-971.47M
Net business purchase and sale
-7,997.05%-316.03M
61.45%-19.42M
-2,801.55%-116.35M
93.41%-146.77M
18.55%-88.49M
99.79%-3.9M
60.29%-50.36M
97.65%-4.01M
-1,075.74%-2.23B
-259.53%-108.64M
Net other investing changes
-100.94%-21.39M
161.43%393.06M
12,477.94%782.29M
38.46%-62.52M
-916.49%-2.49B
1,003.09%2.28B
547.12%150.35M
78.95%-6.32M
-138.10%-101.6M
-386.74%-244.82M
Cash from discontinued investing activities
Investing cash flow
-194.80%-1.12B
46.82%-281.84M
100.88%6.62M
76.27%-1.12B
-4.63%-1.02B
151.32%1.18B
25.22%-530M
-4.16%-749.01M
-342.62%-4.7B
-922.61%-971.47M
Financing cash flow
Cash flow from continuing financing activities
180.04%474.35M
817.64%857.3M
-307.14%-809.71M
-67.55%963.47M
166.86%1.07B
-130.63%-592.61M
-39.65%93.42M
-18.27%390.91M
602.71%2.97B
178.22%401.62M
Net issuance payments of debt
122.82%111.56M
-140.51%-632.25M
-108.70%-98.59M
-90.15%334.35M
77.52%-46.99M
-125.71%-488.81M
-155.18%-262.88M
-7.61%1.13B
366.74%3.39B
58.91%-209.04M
Net common stock issuance
140.43%806.2M
146.01%1.83B
--98.05M
137.74%2.21B
114.14%1.13B
-16.36%335.31M
--742.23M
--0
439.48%928.43M
13,830.66%527.55M
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-7.80%-418.76M
-8.27%-415.78M
-6.85%-788.53M
-4.83%-1.52B
-0.25%-10.18M
-5.25%-388.47M
-4.79%-384.02M
-4.69%-737.98M
-5.18%-1.45B
-2.10%-10.16M
Net other financing activities
51.31%-24.66M
4,267.61%79.39M
-397.90%-20.65M
-159.65%-57.49M
-100.86%-800K
-3,666.13%-50.64M
-104.25%-1.91M
90.39%-4.15M
6.69%96.39M
6,184.30%93.26M
Cash from discontinued financing activities
Financing cash flow
180.04%474.35M
817.64%857.3M
-307.14%-809.71M
-67.55%963.47M
166.86%1.07B
-130.63%-592.61M
-39.65%93.42M
-18.27%390.91M
602.71%2.97B
178.22%401.62M
Net cash flow
Beginning cash position
1,598.69%2.29B
746.63%1.2B
985.94%1.64B
-0.52%150.7M
476.76%1.07B
23.28%134.65M
-15.87%141.63M
-0.52%150.7M
22.51%151.49M
46.31%185.94M
Current changes in cash
-108.25%-78.08M
4,029.98%1.15B
-5,284.21%-450.82M
2,192.88%1.48B
556.39%517.65M
1,661.08%946.05M
157.88%27.81M
-122.70%-8.37M
-242.08%-70.87M
-300.48%-113.42M
Effect of exchange rate changes
-227.58%-27.05M
-73.94%-60.52M
2,039.11%13.44M
-96.25%2.63M
-40.68%46.38M
-135.89%-8.26M
-214.44%-34.8M
96.54%-693K
417.90%70.08M
342.92%78.18M
End cash Position
103.47%2.18B
1,598.69%2.29B
746.63%1.2B
985.94%1.64B
985.94%1.64B
476.76%1.07B
23.28%134.65M
-15.87%141.63M
-0.52%150.7M
-0.52%150.7M
Free cash flow
58.09%566.52M
23.43%573.21M
0.73%352.28M
-1.48%1.63B
1.29%462.31M
-14.55%358.36M
-8.20%464.39M
25.94%349.73M
-2.52%1.66B
0.99%456.42M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 58.09%566.52M23.43%573.21M0.73%352.28M-1.48%1.63B1.29%462.31M-14.55%358.36M-8.20%464.39M25.94%349.73M-2.52%1.66B0.99%456.42M
Net income from continuing operations -94.62%40.13M-35.43%74.67M318.14%287.84M149.87%950.31M2,513.80%19.89M212.38%745.94M81.08%115.65M-10.50%68.84M-78.23%380.33M-99.93%761K
Operating gains losses 103.75%29.68M-39.22%-132.27M-1,650.08%-260.71M-676.60%-870.74M6.89%30.06M-389.00%-790.9M-378.71%-95.01M-18.30%-14.9M92.13%-112.12M102.71%28.12M
Depreciation and amortization 9.36%460M-1.67%425.34M2.35%431.1M7.41%1.69B-2.24%420.48M8.21%420.61M14.75%432.57M10.22%421.2M6.14%1.58B13.53%430.13M
Other non cash items 38.53%-14.18M-67.81%6.85M169.39%12.1M64.59%-32.31M83.92%-13.08M-18.81%-23.06M338.31%21.27M-194.68%-17.44M-232.36%-91.25M-280.31%-81.33M
Change In working capital 113.02%17.93M94.39%-2.19M-16.98%-180.59M-64.87%-379.75M-219.27%-48.6M-130.01%-137.69M-537.80%-39.08M29.88%-154.38M29.49%-230.34M190.34%40.75M
-Change in receivables 117.63%14.59M-76.71%-210.45M76.73%-33.03M42.99%-155.32M4,086.85%188.45M-188.79%-82.72M-49.76%-119.09M15.90%-141.96M29.98%-272.45M103.04%4.5M
-Change in payables and accrued expense 106.07%3.34M160.30%208.26M-1,088.25%-147.56M-632.92%-224.43M-753.97%-237.05M-76.08%-54.97M-9.54%80.01M75.82%-12.42M-32.57%42.11M-64.78%36.25M
Cash from discontinued investing activities
Operating cash flow 58.09%566.52M23.43%573.21M0.73%352.28M-1.48%1.63B1.29%462.31M-14.55%358.36M-8.20%464.39M25.94%349.73M-2.52%1.66B0.99%456.42M
Investing cash flow
Cash flow from continuing investing activities -194.80%-1.12B46.82%-281.84M100.88%6.62M76.27%-1.12B-4.63%-1.02B151.32%1.18B25.22%-530M-4.16%-749.01M-342.62%-4.7B-922.61%-971.47M
Net business purchase and sale -7,997.05%-316.03M61.45%-19.42M-2,801.55%-116.35M93.41%-146.77M18.55%-88.49M99.79%-3.9M60.29%-50.36M97.65%-4.01M-1,075.74%-2.23B-259.53%-108.64M
Net other investing changes -100.94%-21.39M161.43%393.06M12,477.94%782.29M38.46%-62.52M-916.49%-2.49B1,003.09%2.28B547.12%150.35M78.95%-6.32M-138.10%-101.6M-386.74%-244.82M
Cash from discontinued investing activities
Investing cash flow -194.80%-1.12B46.82%-281.84M100.88%6.62M76.27%-1.12B-4.63%-1.02B151.32%1.18B25.22%-530M-4.16%-749.01M-342.62%-4.7B-922.61%-971.47M
Financing cash flow
Cash flow from continuing financing activities 180.04%474.35M817.64%857.3M-307.14%-809.71M-67.55%963.47M166.86%1.07B-130.63%-592.61M-39.65%93.42M-18.27%390.91M602.71%2.97B178.22%401.62M
Net issuance payments of debt 122.82%111.56M-140.51%-632.25M-108.70%-98.59M-90.15%334.35M77.52%-46.99M-125.71%-488.81M-155.18%-262.88M-7.61%1.13B366.74%3.39B58.91%-209.04M
Net common stock issuance 140.43%806.2M146.01%1.83B--98.05M137.74%2.21B114.14%1.13B-16.36%335.31M--742.23M--0439.48%928.43M13,830.66%527.55M
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -7.80%-418.76M-8.27%-415.78M-6.85%-788.53M-4.83%-1.52B-0.25%-10.18M-5.25%-388.47M-4.79%-384.02M-4.69%-737.98M-5.18%-1.45B-2.10%-10.16M
Net other financing activities 51.31%-24.66M4,267.61%79.39M-397.90%-20.65M-159.65%-57.49M-100.86%-800K-3,666.13%-50.64M-104.25%-1.91M90.39%-4.15M6.69%96.39M6,184.30%93.26M
Cash from discontinued financing activities
Financing cash flow 180.04%474.35M817.64%857.3M-307.14%-809.71M-67.55%963.47M166.86%1.07B-130.63%-592.61M-39.65%93.42M-18.27%390.91M602.71%2.97B178.22%401.62M
Net cash flow
Beginning cash position 1,598.69%2.29B746.63%1.2B985.94%1.64B-0.52%150.7M476.76%1.07B23.28%134.65M-15.87%141.63M-0.52%150.7M22.51%151.49M46.31%185.94M
Current changes in cash -108.25%-78.08M4,029.98%1.15B-5,284.21%-450.82M2,192.88%1.48B556.39%517.65M1,661.08%946.05M157.88%27.81M-122.70%-8.37M-242.08%-70.87M-300.48%-113.42M
Effect of exchange rate changes -227.58%-27.05M-73.94%-60.52M2,039.11%13.44M-96.25%2.63M-40.68%46.38M-135.89%-8.26M-214.44%-34.8M96.54%-693K417.90%70.08M342.92%78.18M
End cash Position 103.47%2.18B1,598.69%2.29B746.63%1.2B985.94%1.64B985.94%1.64B476.76%1.07B23.28%134.65M-15.87%141.63M-0.52%150.7M-0.52%150.7M
Free cash flow 58.09%566.52M23.43%573.21M0.73%352.28M-1.48%1.63B1.29%462.31M-14.55%358.36M-8.20%464.39M25.94%349.73M-2.52%1.66B0.99%456.42M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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