US Stock MarketDetailed Quotes

WPC W.P. Carey Inc

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  • 57.510
  • +0.670+1.18%
Close Nov 27 16:00 ET
  • 57.510
  • 0.0000.00%
Post 20:01 ET
12.59BMarket Cap22.73P/E (TTM)

W.P. Carey 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
-0.77%280.17M
-10.73%221.05M
266.27%1.04B
6.96%1.07B
-13.38%260.75M
10.45%282.35M
17.35%247.61M
19.86%282.73M
8.32%1B
-0.02%301.03M
Net income from continuing operations
-10.68%111.65M
-1.19%142.85M
-45.97%159.09M
18.34%708.26M
-31.15%144.24M
19.88%125M
13.20%144.58M
87.55%294.44M
45.93%598.48M
110.32%209.5M
Operating gains losses
60.06%-2.83M
-937.24%-36.66M
83.87%-30.29M
-78.30%-326.5M
-16.06%-128.14M
-27.61%-7.09M
77.87%-3.53M
-266.74%-187.74M
-1,199.54%-183.12M
-691.61%-110.4M
Depreciation and amortization
-20.62%125.21M
-6.33%147.72M
-25.83%127.63M
11.57%628.12M
-8.97%140.6M
6.46%157.74M
21.69%157.7M
31.58%172.08M
2.80%562.99M
-0.22%154.45M
Deferred tax
63.76%-1.58M
48.88%-1.39M
-131.45%-1.37M
97.53%-199K
138.51%2.51M
-12,180.56%-4.35M
-667.04%-2.72M
451.53%4.37M
-71.61%-8.07M
-284.98%-6.51M
Other non cash items
43.10%-11.21M
-34.70%-26.96M
5,037.92%787.5M
-27.83%-75.44M
-26.32%-19.76M
-29.68%-19.71M
-30.12%-20.02M
-24.72%-15.95M
6.47%-59.01M
20.20%-15.65M
Change In working capital
547.96%24.89M
12.73%-36.54M
-362.01%-15.55M
-106.03%-29.4M
-93.33%2.7M
-30.27%3.84M
-8.04%-41.87M
127.71%5.94M
-0.12%-14.27M
86.76%40.4M
Cash from discontinued investing activities
Operating cash flow
-0.77%280.17M
-10.73%221.05M
266.27%1.04B
6.96%1.07B
-13.38%260.75M
10.45%282.35M
17.35%247.61M
19.86%282.73M
8.32%1B
-0.02%301.03M
Investing cash flow
Cash flow from continuing investing activities
-143.20%-48.86M
52.82%-150.19M
59.65%-236.97M
13.93%-905.88M
-242.41%-113.36M
124.64%113.09M
3.96%-318.35M
-156.39%-587.27M
32.82%-1.05B
93.55%-33.11M
Net business purchase and sale
69.66%-3.88M
-471.22%-2.8M
89.26%-1.42M
94.56%-27.74M
95.04%-1.22M
97.18%-12.78M
96.73%-490K
19.90%-13.24M
-444.62%-509.75M
-214.69%-24.63M
Net investment purchase and sale
----
----
--0
----
----
----
----
-818.58%-467.08M
----
----
Net other investing changes
-36.54%14.92M
104.63%447K
-369.09%-83.12M
-98.21%8.47M
-125.05%-36.26M
-93.58%23.51M
53.99%-9.66M
281.58%30.89M
318.56%472.74M
167.47%144.72M
Cash from discontinued investing activities
Investing cash flow
-143.20%-48.86M
52.82%-150.19M
59.65%-236.97M
13.93%-905.88M
-242.41%-113.36M
124.64%113.09M
3.96%-318.35M
-156.39%-587.27M
32.82%-1.05B
93.55%-33.11M
Financing cash flow
Cash flow from continuing financing activities
-28.29%-596.48M
-52.46%61.02M
-223.40%-379.04M
405.40%292.56M
205.16%321.98M
-280.54%-464.94M
81.19%128.35M
760.50%307.17M
-89.61%57.89M
-221.89%-306.17M
Net issuance payments of debt
-86.37%-400.06M
-26.60%262.49M
-158.74%-172.14M
-34.22%257.42M
33.26%-178.62M
-159.33%-214.66M
53.39%357.65M
357.88%293.06M
32.67%391.33M
-255.81%-267.63M
Net common stock issuance
----
----
----
--0
----
----
----
----
-35.85%218.08M
--0
Cash dividends paid
16.67%-191.65M
16.99%-190.48M
16.04%-190.33M
-9.73%-916.53M
-3.79%-230.37M
-11.88%-229.99M
-12.16%-229.47M
-11.60%-226.7M
-9.29%-835.26M
-12.64%-221.96M
Proceeds from stock option exercised by employees
--0
--0
--0
122.96%633.79M
105.55%383.98M
--0
---137K
--249.94M
-59.22%284.26M
-22.11%186.8M
Net other financing activities
76.47%-4.77M
-3,612.14%-10.99M
-81.40%-16.57M
60,419.35%317.88M
10,329.63%346.99M
-623.81%-20.29M
-90.10%313K
-118.99%-9.13M
95.05%-527K
-311.65%-3.39M
Cash from discontinued financing activities
Financing cash flow
-28.29%-596.48M
-52.46%61.02M
-223.40%-379.04M
405.40%292.56M
205.16%321.98M
-280.54%-464.94M
81.19%128.35M
760.50%307.17M
-89.61%57.89M
-221.89%-306.17M
Net cash flow
Beginning cash position
329.52%1.23B
378.28%1.1B
208.72%691.97M
2.84%224.14M
-14.43%213.92M
42.79%286.29M
-10.75%230.83M
2.84%224.14M
-30.09%217.95M
37.43%250.01M
Current changes in cash
-425.45%-365.17M
128.92%131.88M
15,858.04%419.54M
5,062.83%460.11M
1,327.18%469.37M
-228.05%-69.5M
216.06%57.61M
-93.82%2.63M
110.71%8.91M
-198.56%-38.25M
Effect of exchange rate changes
610.25%14.63M
-189.54%-6.23M
-284.31%-7.49M
383.68%7.72M
-29.89%8.68M
39.65%-2.87M
74.69%-2.15M
320.23%4.06M
74.40%-2.72M
545.66%12.38M
End cash Position
310.95%879.13M
329.52%1.23B
378.28%1.1B
208.72%691.97M
208.72%691.97M
-14.43%213.92M
42.79%286.29M
-10.75%230.83M
2.84%224.14M
2.84%224.14M
Free cash flow
-0.77%280.17M
-10.73%221.05M
266.27%1.04B
6.96%1.07B
-13.38%260.75M
10.45%282.35M
17.35%247.61M
19.86%282.73M
8.32%1B
-0.02%301.03M
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
--
(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 -0.77%280.17M-10.73%221.05M266.27%1.04B6.96%1.07B-13.38%260.75M10.45%282.35M17.35%247.61M19.86%282.73M8.32%1B-0.02%301.03M
Net income from continuing operations -10.68%111.65M-1.19%142.85M-45.97%159.09M18.34%708.26M-31.15%144.24M19.88%125M13.20%144.58M87.55%294.44M45.93%598.48M110.32%209.5M
Operating gains losses 60.06%-2.83M-937.24%-36.66M83.87%-30.29M-78.30%-326.5M-16.06%-128.14M-27.61%-7.09M77.87%-3.53M-266.74%-187.74M-1,199.54%-183.12M-691.61%-110.4M
Depreciation and amortization -20.62%125.21M-6.33%147.72M-25.83%127.63M11.57%628.12M-8.97%140.6M6.46%157.74M21.69%157.7M31.58%172.08M2.80%562.99M-0.22%154.45M
Deferred tax 63.76%-1.58M48.88%-1.39M-131.45%-1.37M97.53%-199K138.51%2.51M-12,180.56%-4.35M-667.04%-2.72M451.53%4.37M-71.61%-8.07M-284.98%-6.51M
Other non cash items 43.10%-11.21M-34.70%-26.96M5,037.92%787.5M-27.83%-75.44M-26.32%-19.76M-29.68%-19.71M-30.12%-20.02M-24.72%-15.95M6.47%-59.01M20.20%-15.65M
Change In working capital 547.96%24.89M12.73%-36.54M-362.01%-15.55M-106.03%-29.4M-93.33%2.7M-30.27%3.84M-8.04%-41.87M127.71%5.94M-0.12%-14.27M86.76%40.4M
Cash from discontinued investing activities
Operating cash flow -0.77%280.17M-10.73%221.05M266.27%1.04B6.96%1.07B-13.38%260.75M10.45%282.35M17.35%247.61M19.86%282.73M8.32%1B-0.02%301.03M
Investing cash flow
Cash flow from continuing investing activities -143.20%-48.86M52.82%-150.19M59.65%-236.97M13.93%-905.88M-242.41%-113.36M124.64%113.09M3.96%-318.35M-156.39%-587.27M32.82%-1.05B93.55%-33.11M
Net business purchase and sale 69.66%-3.88M-471.22%-2.8M89.26%-1.42M94.56%-27.74M95.04%-1.22M97.18%-12.78M96.73%-490K19.90%-13.24M-444.62%-509.75M-214.69%-24.63M
Net investment purchase and sale ----------0-----------------818.58%-467.08M--------
Net other investing changes -36.54%14.92M104.63%447K-369.09%-83.12M-98.21%8.47M-125.05%-36.26M-93.58%23.51M53.99%-9.66M281.58%30.89M318.56%472.74M167.47%144.72M
Cash from discontinued investing activities
Investing cash flow -143.20%-48.86M52.82%-150.19M59.65%-236.97M13.93%-905.88M-242.41%-113.36M124.64%113.09M3.96%-318.35M-156.39%-587.27M32.82%-1.05B93.55%-33.11M
Financing cash flow
Cash flow from continuing financing activities -28.29%-596.48M-52.46%61.02M-223.40%-379.04M405.40%292.56M205.16%321.98M-280.54%-464.94M81.19%128.35M760.50%307.17M-89.61%57.89M-221.89%-306.17M
Net issuance payments of debt -86.37%-400.06M-26.60%262.49M-158.74%-172.14M-34.22%257.42M33.26%-178.62M-159.33%-214.66M53.39%357.65M357.88%293.06M32.67%391.33M-255.81%-267.63M
Net common stock issuance --------------0-----------------35.85%218.08M--0
Cash dividends paid 16.67%-191.65M16.99%-190.48M16.04%-190.33M-9.73%-916.53M-3.79%-230.37M-11.88%-229.99M-12.16%-229.47M-11.60%-226.7M-9.29%-835.26M-12.64%-221.96M
Proceeds from stock option exercised by employees --0--0--0122.96%633.79M105.55%383.98M--0---137K--249.94M-59.22%284.26M-22.11%186.8M
Net other financing activities 76.47%-4.77M-3,612.14%-10.99M-81.40%-16.57M60,419.35%317.88M10,329.63%346.99M-623.81%-20.29M-90.10%313K-118.99%-9.13M95.05%-527K-311.65%-3.39M
Cash from discontinued financing activities
Financing cash flow -28.29%-596.48M-52.46%61.02M-223.40%-379.04M405.40%292.56M205.16%321.98M-280.54%-464.94M81.19%128.35M760.50%307.17M-89.61%57.89M-221.89%-306.17M
Net cash flow
Beginning cash position 329.52%1.23B378.28%1.1B208.72%691.97M2.84%224.14M-14.43%213.92M42.79%286.29M-10.75%230.83M2.84%224.14M-30.09%217.95M37.43%250.01M
Current changes in cash -425.45%-365.17M128.92%131.88M15,858.04%419.54M5,062.83%460.11M1,327.18%469.37M-228.05%-69.5M216.06%57.61M-93.82%2.63M110.71%8.91M-198.56%-38.25M
Effect of exchange rate changes 610.25%14.63M-189.54%-6.23M-284.31%-7.49M383.68%7.72M-29.89%8.68M39.65%-2.87M74.69%-2.15M320.23%4.06M74.40%-2.72M545.66%12.38M
End cash Position 310.95%879.13M329.52%1.23B378.28%1.1B208.72%691.97M208.72%691.97M-14.43%213.92M42.79%286.29M-10.75%230.83M2.84%224.14M2.84%224.14M
Free cash flow -0.77%280.17M-10.73%221.05M266.27%1.04B6.96%1.07B-13.38%260.75M10.45%282.35M17.35%247.61M19.86%282.73M8.32%1B-0.02%301.03M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

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