US Stock MarketDetailed Quotes

EQR Equity Residential

Watchlist
  • 60.120
  • +0.090+0.15%
Close 02/20 16:00 ET
  • 60.120
  • 0.0000.00%
Post 16:11 ET
22.82BMarket Cap27.33P/E (TTM)

Equity Residential Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
5.36%1.53B
2.91%344.27M
3.07%442.54M
9.26%352.7M
6.85%393.28M
15.44%1.45B
18.64%334.53M
6.78%429.35M
40.31%322.82M
6.36%368.06M
Net income from continuing operations
7.62%868.49M
94.90%322.27M
-45.91%181.29M
-37.74%144.86M
198.21%220.07M
-42.22%807M
-70.52%165.35M
-25.07%335.17M
-29.07%232.68M
22.25%73.8M
Operating gains losses
5.29%-274.94M
-5,828.99%-153.37M
86.17%-26.34M
102.31%2.41M
-5,780.51%-97.65M
73.19%-290.3M
100.56%2.68M
47.17%-190.42M
57.39%-104.27M
-57.90%1.72M
Depreciation and amortization
0.80%901.5M
5.85%230.01M
4.97%227.95M
-1.01%224.56M
-6.02%218.98M
5.04%894.33M
-3.51%217.31M
-0.56%217.15M
10.74%226.86M
14.82%233.01M
Other non cash items
-5.10%13.03M
0.16%3.19M
18.83%4.1M
-21.00%2.89M
-17.12%2.85M
-2.18%13.73M
-18.92%3.19M
1.86%3.45M
12.94%3.66M
-1.26%3.44M
Change In working capital
146.01%2.16M
9.66%-54.73M
-7.29%53.01M
25.76%-34.63M
-15.10%38.5M
-115.78%-4.69M
-16.40%-60.58M
-34.01%57.18M
33.44%-46.64M
-30.44%45.35M
-Change in prepaid assets
-91.50%238K
-4.23%-320K
119.61%71K
-66.62%699K
-115.43%-212K
-50.56%2.8M
-120.14%-307K
-115.15%-362K
62.45%2.09M
199.35%1.37M
-Change in payables and accrued expense
339.96%8.32M
26.14%-44.23M
-20.67%27.19M
82.45%-3.47M
-31.24%28.82M
-118.25%-3.47M
-45.85%-59.88M
-36.08%34.27M
53.22%-19.78M
-13.94%41.92M
-Change in other current assets
-193.67%-10.2M
-124.47%-22.09M
10.14%25.15M
-22.45%-39.52M
-12.98%26.26M
84.44%10.89M
5.04%-9.84M
10.12%22.83M
-28.01%-32.27M
45.44%30.17M
-Change in other current liabilities
125.52%3.81M
26.05%11.91M
38.22%604K
131.24%7.66M
41.79%-16.37M
-1,684.45%-14.92M
539.19%9.45M
-95.59%437K
185.43%3.31M
-495.66%-28.12M
Cash from discontinued investing activities
Operating cash flow
5.36%1.53B
2.91%344.27M
3.07%442.54M
9.26%352.7M
6.85%393.28M
15.44%1.45B
18.64%334.53M
6.78%429.35M
40.31%322.82M
6.36%368.06M
Investing cash flow
Cash flow from continuing investing activities
-479.90%-409.5M
143.42%58.85M
-168.27%-197.08M
-307.65%-315M
122.19%43.72M
124.80%107.79M
-8.41%-135.54M
213.55%288.67M
113.69%151.7M
-55.95%-197.04M
Capital expenditure reported
-45.36%-331.69M
-12.20%-92.35M
-61.01%-97.12M
-69.36%-83.44M
-61.93%-58.79M
-36.68%-228.19M
-75.56%-82.3M
-32.70%-60.32M
-16.83%-49.27M
-11.88%-36.3M
Net PPE purchase and sale
54.30%-1.85M
78.33%-394K
66.91%-414K
-4,330.00%-443K
38.21%-600K
-138.80%-4.05M
-308.54%-1.82M
-498.56%-1.25M
97.79%-10K
-64.86%-971K
Net business purchase and sale
70.02%-47.87M
44.90%-12.81M
90.14%-8.66M
49.65%-11.92M
41.84%-14.48M
-100.15%-159.7M
52.28%-23.24M
-230.51%-87.88M
-1,020.68%-23.68M
-946.97%-24.9M
Net investment purchase and sale
-64.41%542K
108.86%90K
1,698.56%2.5M
-9,900.00%-2.5M
-81.36%452K
-93.41%1.52M
-103.20%-1.02M
116.43%139K
-100.05%-25K
109.21%2.43M
Cash from discontinued investing activities
Investing cash flow
-479.90%-409.5M
143.42%58.85M
-168.27%-197.08M
-307.65%-315M
122.19%43.72M
124.80%107.79M
-8.41%-135.54M
213.55%288.67M
113.69%151.7M
-55.95%-197.04M
Financing cash flow
Cash flow from continuing financing activities
37.25%-1.12B
-112.71%-389.86M
65.97%-243.38M
71.74%-132.14M
15.37%-355.09M
-216.01%-1.79B
-681.47%-183.28M
-128.06%-715.21M
-7,209.19%-467.57M
-89.33%-419.56M
Net issuance payments of debt
90.69%-86.54M
-22.00%-91.97M
98.76%-5.88M
165.19%127.88M
36.79%-116.57M
-418.86%-929.34M
-139.00%-75.39M
-360.76%-473.36M
-193.27%-196.17M
-1,851.11%-184.42M
Net common stock issuance
-135.17%-49.11M
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--139.62M
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Cash dividends paid
-6.33%-993.24M
-7.33%-252.34M
-6.47%-251.1M
-6.77%-251.7M
-4.70%-238.11M
-3.38%-934.1M
-3.70%-235.1M
-4.21%-235.85M
-4.57%-235.74M
-1.04%-227.41M
Proceeds from stock option exercised by employees
-7.17%27.15M
164.54%13.08M
-80.53%583K
-34.62%3.92M
-37.54%9.56M
-67.40%29.25M
-71.65%4.95M
-90.01%3M
-66.10%5.99M
-37.78%15.31M
Net other financing activities
79.42%-18.74M
45.10%-9.53M
244.71%13.02M
70.61%-12.24M
56.69%-9.98M
-113.41%-91.04M
-131.23%-17.36M
38.07%-8.99M
-365.27%-41.66M
-97.24%-23.04M
Cash from discontinued financing activities
Financing cash flow
37.25%-1.12B
-112.71%-389.86M
65.97%-243.38M
71.74%-132.14M
15.37%-355.09M
-216.01%-1.79B
-681.47%-183.28M
-128.06%-715.21M
-7,209.19%-467.57M
-89.33%-419.56M
Net cash flow
Beginning cash position
-61.92%137.17M
4.33%126.73M
5.05%124.64M
96.14%219.09M
-61.92%137.17M
261.22%360.24M
-46.43%121.47M
-69.77%118.65M
14.17%111.7M
261.22%360.24M
Current changes in cash
101.27%2.82M
-15.52%13.27M
-25.96%2.09M
-1,458.70%-94.44M
132.96%81.91M
-185.63%-223.06M
-88.23%15.71M
101.70%2.82M
-97.64%6.95M
-13,036.15%-248.54M
End cash Position
2.06%140M
2.06%140M
4.33%126.73M
5.05%124.64M
96.14%219.09M
-61.92%137.17M
-61.92%137.17M
-46.43%121.47M
-69.77%118.65M
14.17%111.7M
Free cash flow
-1.90%1.2B
0.45%251.53M
-6.19%345.01M
-1.73%268.82M
0.94%333.89M
12.00%1.22B
6.72%250.41M
3.19%367.79M
45.93%273.54M
5.68%330.78M
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
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 5.36%1.53B2.91%344.27M3.07%442.54M9.26%352.7M6.85%393.28M15.44%1.45B18.64%334.53M6.78%429.35M40.31%322.82M6.36%368.06M
Net income from continuing operations 7.62%868.49M94.90%322.27M-45.91%181.29M-37.74%144.86M198.21%220.07M-42.22%807M-70.52%165.35M-25.07%335.17M-29.07%232.68M22.25%73.8M
Operating gains losses 5.29%-274.94M-5,828.99%-153.37M86.17%-26.34M102.31%2.41M-5,780.51%-97.65M73.19%-290.3M100.56%2.68M47.17%-190.42M57.39%-104.27M-57.90%1.72M
Depreciation and amortization 0.80%901.5M5.85%230.01M4.97%227.95M-1.01%224.56M-6.02%218.98M5.04%894.33M-3.51%217.31M-0.56%217.15M10.74%226.86M14.82%233.01M
Other non cash items -5.10%13.03M0.16%3.19M18.83%4.1M-21.00%2.89M-17.12%2.85M-2.18%13.73M-18.92%3.19M1.86%3.45M12.94%3.66M-1.26%3.44M
Change In working capital 146.01%2.16M9.66%-54.73M-7.29%53.01M25.76%-34.63M-15.10%38.5M-115.78%-4.69M-16.40%-60.58M-34.01%57.18M33.44%-46.64M-30.44%45.35M
-Change in prepaid assets -91.50%238K-4.23%-320K119.61%71K-66.62%699K-115.43%-212K-50.56%2.8M-120.14%-307K-115.15%-362K62.45%2.09M199.35%1.37M
-Change in payables and accrued expense 339.96%8.32M26.14%-44.23M-20.67%27.19M82.45%-3.47M-31.24%28.82M-118.25%-3.47M-45.85%-59.88M-36.08%34.27M53.22%-19.78M-13.94%41.92M
-Change in other current assets -193.67%-10.2M-124.47%-22.09M10.14%25.15M-22.45%-39.52M-12.98%26.26M84.44%10.89M5.04%-9.84M10.12%22.83M-28.01%-32.27M45.44%30.17M
-Change in other current liabilities 125.52%3.81M26.05%11.91M38.22%604K131.24%7.66M41.79%-16.37M-1,684.45%-14.92M539.19%9.45M-95.59%437K185.43%3.31M-495.66%-28.12M
Cash from discontinued investing activities
Operating cash flow 5.36%1.53B2.91%344.27M3.07%442.54M9.26%352.7M6.85%393.28M15.44%1.45B18.64%334.53M6.78%429.35M40.31%322.82M6.36%368.06M
Investing cash flow
Cash flow from continuing investing activities -479.90%-409.5M143.42%58.85M-168.27%-197.08M-307.65%-315M122.19%43.72M124.80%107.79M-8.41%-135.54M213.55%288.67M113.69%151.7M-55.95%-197.04M
Capital expenditure reported -45.36%-331.69M-12.20%-92.35M-61.01%-97.12M-69.36%-83.44M-61.93%-58.79M-36.68%-228.19M-75.56%-82.3M-32.70%-60.32M-16.83%-49.27M-11.88%-36.3M
Net PPE purchase and sale 54.30%-1.85M78.33%-394K66.91%-414K-4,330.00%-443K38.21%-600K-138.80%-4.05M-308.54%-1.82M-498.56%-1.25M97.79%-10K-64.86%-971K
Net business purchase and sale 70.02%-47.87M44.90%-12.81M90.14%-8.66M49.65%-11.92M41.84%-14.48M-100.15%-159.7M52.28%-23.24M-230.51%-87.88M-1,020.68%-23.68M-946.97%-24.9M
Net investment purchase and sale -64.41%542K108.86%90K1,698.56%2.5M-9,900.00%-2.5M-81.36%452K-93.41%1.52M-103.20%-1.02M116.43%139K-100.05%-25K109.21%2.43M
Cash from discontinued investing activities
Investing cash flow -479.90%-409.5M143.42%58.85M-168.27%-197.08M-307.65%-315M122.19%43.72M124.80%107.79M-8.41%-135.54M213.55%288.67M113.69%151.7M-55.95%-197.04M
Financing cash flow
Cash flow from continuing financing activities 37.25%-1.12B-112.71%-389.86M65.97%-243.38M71.74%-132.14M15.37%-355.09M-216.01%-1.79B-681.47%-183.28M-128.06%-715.21M-7,209.19%-467.57M-89.33%-419.56M
Net issuance payments of debt 90.69%-86.54M-22.00%-91.97M98.76%-5.88M165.19%127.88M36.79%-116.57M-418.86%-929.34M-139.00%-75.39M-360.76%-473.36M-193.27%-196.17M-1,851.11%-184.42M
Net common stock issuance -135.17%-49.11M------------------139.62M----------------
Cash dividends paid -6.33%-993.24M-7.33%-252.34M-6.47%-251.1M-6.77%-251.7M-4.70%-238.11M-3.38%-934.1M-3.70%-235.1M-4.21%-235.85M-4.57%-235.74M-1.04%-227.41M
Proceeds from stock option exercised by employees -7.17%27.15M164.54%13.08M-80.53%583K-34.62%3.92M-37.54%9.56M-67.40%29.25M-71.65%4.95M-90.01%3M-66.10%5.99M-37.78%15.31M
Net other financing activities 79.42%-18.74M45.10%-9.53M244.71%13.02M70.61%-12.24M56.69%-9.98M-113.41%-91.04M-131.23%-17.36M38.07%-8.99M-365.27%-41.66M-97.24%-23.04M
Cash from discontinued financing activities
Financing cash flow 37.25%-1.12B-112.71%-389.86M65.97%-243.38M71.74%-132.14M15.37%-355.09M-216.01%-1.79B-681.47%-183.28M-128.06%-715.21M-7,209.19%-467.57M-89.33%-419.56M
Net cash flow
Beginning cash position -61.92%137.17M4.33%126.73M5.05%124.64M96.14%219.09M-61.92%137.17M261.22%360.24M-46.43%121.47M-69.77%118.65M14.17%111.7M261.22%360.24M
Current changes in cash 101.27%2.82M-15.52%13.27M-25.96%2.09M-1,458.70%-94.44M132.96%81.91M-185.63%-223.06M-88.23%15.71M101.70%2.82M-97.64%6.95M-13,036.15%-248.54M
End cash Position 2.06%140M2.06%140M4.33%126.73M5.05%124.64M96.14%219.09M-61.92%137.17M-61.92%137.17M-46.43%121.47M-69.77%118.65M14.17%111.7M
Free cash flow -1.90%1.2B0.45%251.53M-6.19%345.01M-1.73%268.82M0.94%333.89M12.00%1.22B6.72%250.41M3.19%367.79M45.93%273.54M5.68%330.78M
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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