AvalonBay Communities, Inc.

NYSE:AVB

214.41 (USD) • At close January 22, 2025

Numbers are in millions (except for per share data and ratios) USD.

20222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Assets:
Current Assets:
Cash & Cash Equivalents 613.189420.251216.97639.68791.65967.088214.994400.507509.46281.5412,733.62616.89306.426316.367259.30521.222145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Short Term Investments 00000000000000000000000000000
Cash and Short Term Investments 613.189420.251216.97639.68791.65967.088214.994400.507509.46281.5412,733.62616.89306.426316.367259.30521.222145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Net Receivables -122.12218.59418.15900000000000000000000000000
Inventory 32.532-54.19-80.34800000000000000000000000000
Other Current Assets 247.461211.484207.715164.971292.736420.882403.988333.993326.451322.258218.62373.439173.343210.676193.599189.1710000000000000
Total Current Assets 771.06596.139362.502161.838249.68234.592362.048535.405634.702406.6942,808.4690.329479.769316.367259.305210.393145.55654.37214.65719.02123.596122.95173.96716.42216.3863.1880.9200
Non-Current Assets:
Property, Plant & Equipment, Net 143.331146.599155.266124.96100000007,425.036,955.656,833.496,649.746,297.185,478.064,945.794,877.834,736.394,785.434,390.844,199.964,041.323,890.861,294.48697.793463.7375.8
Goodwill 00000000000000000000000000000
Intangible Assets 00000000000000000000000000000
Goodwill and Intangible Assets 00000000000000000000000000000
Long Term Investments 212.084216.39202.612165.806217.432163.475175.116216.919298.315353.866129.352144.561121.53774.5755.02557.9942.72441.94241.37919.73514.59115.06612.21510.70217.2110000
Tax Assets 00000000000000000000000000000
Other Non-Current Assets 19,331.318,942.918,478.818,668.417,913.118,016.817,330.116,17915,243.714,567.68,222.33222.47264.537233.181209.301170.919-5,520.78-4,987.73-4,919.2-4,756.12-4,800.02-4,405.91-4,212.17-4,052.02-3,908.07-1,294.48-697.793-463.7-375.8
Total Non-Current Assets 19,686.719,305.918,836.618,959.218,130.518,180.217,505.216,395.915,54214,921.48,351.687,792.067,341.727,141.246,914.076,526.095,520.784,987.734,919.24,756.124,800.024,405.914,212.174,052.023,908.071,294.48697.79300
Total Assets 20,457.819,90219,199.119,121.118,380.218,414.817,867.316,931.316,176.715,328.111,160.18,482.397,821.497,457.67,173.376,736.485,807.925,165.065,068.284,909.584,950.834,664.294,397.234,154.664,030.21,317.65711.909477.2390
Liabilities & Equity:
Current Liabilities:
Account Payables 72.80263.72293.60992.13596.98385.377100.99898.802101.94694.47253.67736.77534.43349.62364.25791.5859.23262.85223.00526.91229.76843.65619.99718.90848.9487.7275.4500
Short Term Debt 000000000002,003.0902,316.843,550.4600000000178.63290000
Tax Payables 00000000000000000000000000000
Deferred Revenue 000000000001,599.200000000000000000
Other Current Liabilities 586.308-63.722-93.609-92.135548.689547.399-100.19-98.249-101.039-93.598-52.971-1,635.98355.515-1,979.7-3,081.77344.419386.768193.148217.995233.088255.232223.344205.003-7.508-170.94830.27320.5500
Total Current Liabilities 659.1164.02693.9292.51645.672632.7760.8080.5530.9070.8740.7062,003.09389.948386.764532.944435.999446256241260285267225190207382600
Non-Current Liabilities:
Long Term Debt 8,316.048,103.557,564.347,296.297,040.267,329.477,030.886,456.956,525.856,145.393,851.031,629.214,101.691,658.033,674.463,208.2672.5082,366.562,442.292,337.822,471.162,082.771,729.921,415.051,484.37487.484273.688227.8181.7
Deferred Revenue Non-Current 0055.92861.75258.41558.47357.02353.13249.50245.48538.626000000000000000000
Deferred Tax Liabilities Non-Current 00-55.928-61.752-58.415-58.473-57.023-53.132-49.502-45.485-38.626000000000000000000
Other Non-Current Liabilities 885.481862.008879.956831.311704.087691.249656.401623.281590.794564.831460.518441.13902,362.6940.60342.4772,153.490.436-0.2910.183-0.1630.2310.076178.953-0.371-0.4840.31200
Total Non-Current Liabilities 9,201.538,965.558,444.298,127.67,744.358,020.727,687.287,080.237,116.656,710.224,311.552,070.354,101.694,020.713,715.063,250.682,8262,3672,4422,3382,4712,0831,7301,5941,484487274227.8181.7
Total Liabilities 9,201.538,965.558,444.298,127.67,744.358,020.727,688.097,080.787,117.556,711.14,312.264,073.444,491.634,401.684,2483,686.683,171.212,603.932,661.472,573.52,678.852,294.541,905.231,7491,658.54515.822292.63239.6193.3
Equity:
Preferred Stock 0000000003.5953.5797.1510000.040.040.040.040.040.0730.0960.1830.1830.1830.0830.02700
Common Stock 1.41.3981.3951.4061.3851.3811.3731.371.321.2941.1440.9520.8590.8150.7710.7730.7470.7370.7260.7090.6820.6870.6720.6580.6390.2610.1900
Retained Earnings 485.221240.821126.022282.913350.777188.60994.899-197.989-267.085-345.254-142.329-171.648-282.743-149.988-21.9422.499151.714115.78810.7692.024-51.85-3.497-47.845-69.507-80.339-31.169-23.663-13.7-6.4
Accumulated Other Comprehensive Income/Loss 1.424-26.106-40.25-31.503-26.144-37.419-30.51-31.387-42.515-48.631-108.007-87.02-1.175-1.067-2.932-3.366-3.579-4.47-7.096-8.212-12.64-8.483-316.045-206.962-143.135-79.031-52.55400
Other Total Stockholders Equity 10,765.510,71710,66510,737.410,306.610,235.510,105.710,068.59,354.688,988.727,086.414,652.463,593.683,200.372,940.53,026.712,482.522,429.572,380.852,316.772,258.272,325.752,805.532,645.912,562.1902.551488.277251.3203.1
Total Shareholders Equity 11,253.610,933.110,752.210,990.210,632.610,38810,171.49,840.539,046.418,599.736,840.794,401.893,310.623,050.132,916.43,026.652,631.442,541.662,385.292,311.332,194.542,314.552,442.492,370.282,339.45792.695412.277237.6196.7
Total Equity 11,253.610,933.110,752.210,990.210,632.610,38810,171.49,840.539,046.418,599.736,840.794,401.893,310.623,050.132,916.43,026.652,631.442,541.662,385.292,311.332,194.542,314.552,442.492,370.282,339.45792.695412.277237.6196.7
Total Liabilities & Shareholders Equity 20,457.819,90219,199.119,121.118,380.218,414.817,867.316,931.316,176.715,328.111,160.18,482.397,821.497,457.67,173.376,736.485,807.925,165.065,068.284,909.584,950.834,664.294,397.234,154.664,030.21,317.65711.909477.2390