Prologis, Inc.

NYSE:PLD

115.13 (USD) • At close January 22, 2025
Overview | Financials

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

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Operating Activities:
Net Income 3,555.43,148.591,616.631,701.851,822.961,760.961,292.54925.515739.284234.947-73.48-157.93833.594-27.96-49.31316.431183.621167.62295.36396.472124.237137.338121.782170.045112.59318.2
Depreciation & Amortization 1,812.781,577.941,561.971,139.88947.214879.14930.985880.373642.461664.007767.459603.884180.331169.363158.596163.726179.977180.304160.026133.514134.663111.41496.25867.50557.4644.195
Deferred Income Tax 12.6381.3220.74412.2211.448-5.005-5.525-5.057-87.24-20.067-21.967-19.80300108.64400000000000
Stock Based Compensation 175.356113.028109.83197.55776.09376.6460.34153.66557.47849.23932.13828.9223.94123.04921.46700000000000
Change In Working Capital -26.224-165.876-18.84418.611-82.7242.759-65.001-110.806-63.964-93.032-184.31-187.0068.714-6.7819.987-55.18520.245-27.306-0.21-7.087-1.40713.12823.529-9.73511.034-9.572
Accounts Receivables -135.254-342.734-112.949-96.608-112.8456.385-91.514-102.934-0.093-12.912-178.387-40.095-18.32817.31127.776-82.2883.276-42.379-1.154-14.603-8.26919.753-34.1425.199-9.377-11.9
Inventory 0000000000000000000000000-9.6
Accounts Payables 109.03176.85894.105115.21930.12536.37426.513-7.872-63.871-80.12-5.923027.042-24.091-7.78927.10316.96915.0730.9447.5166.862-6.62557.671-14.93420.4112.3
Other Working Capital 00000000000-146.91100055.185-20.24527.3060.217.0871.407-13.128-23.5299.735-11.0349.628
Other Non Cash Items -1,403.52-1,678.96-333.325-706.08-961.436-1,067.25-796.335-780.28-583.488-350.105-56.348-60.9936.1884.60441.636-184.429-47.988-24.80539.19948.63731.30826.68219.606-37.424-3.911-0.543
Operating Cash Flow 4,126.432,996.042,9372,264.031,803.561,687.251,417.01963.41704.531484.989463.492207.064252.76242.276301.02240.543335.855295.815294.378271.536288.801288.562261.175190.391177.1812.28
Investing Activities:
Investments In Property Plant And Equipment 00-1,248.290-915.698-110.635-101.677-83.351-78.61-82.61-80.612-1,081.5-272.919-402.349-1,216.37-1,357.9-1,485.88-1,086.65-996.202-761.139-563.091-624.701-798.979-579.823-564.304-226.872
Acquisitions Net -365.372-739.828-1,823.67113.294199.92-415.189510.599-304.395-1,085.72-1,487.94-238.488-1,025.2504.233-77.17800000-355.96400-7.789-67.376-5.935
Purchases Of Investments -3.458-16.513-9.034-30.424-11.703-5.058101.677-0.981000-92.755-413.451-16.415-52.267-54.334-18.969000000000
Sales Maturities Of Investments 59.2813.3052.35223.6429.4257.54179.767129.149000170.158106.749482.515421.64700000000000
Other Investing Activites -4,189.51-1,237.024.312-791.8634.261,066.62661.672-4,389.04676.023,904.48848.7151,796.28-7.0077.14542.403779.994624.291,026.24267.771413.136600.584261.54972.48651.344-164.5330
Investing Cash Flow -4,499.06-1,990.06-3,074.33-685.35-663.796543.2781,252.04-4,648.61-488.3092,333.92529.615-233.065-586.62875.129-881.768-632.24-880.56-60.407-728.431-348.003-318.471-363.152-726.49963.732-796.213-232.807
Financing Activities:
Debt Repayment -1,381.01-2,560.17-6,793.27-3,301.83-4,166.09-3,578.89-2,301.65-3,164.26-4,923.17-6,105.51-1,850.7-1,907.27-1,516.3-2,245.69-2,454.72-1,912.25-1,444.05-1,025.15-846.21-641.81-438.368-504.366-80-595.463-79.38-181.647
Common Stock Issued 00.7432.2176.0826.89132.85839.4790.258378.2471,505.7930.9811,156.49478.847552.3193,408.91656.496153.60148.47227.721200.06984.3354.2742.180.7320317.009
Common Stock Repurchased 03,921.03-42.0294,104.524,225.12-13.1821,403.325,381.86-27.643-482.51,442.321,298.891,574.84-0.322-87.706-258.833-196.161,332.561,314.76-265.005-77.432-32.892557.571531.650150.85
Dividends Paid -2,571.27-1,872.86-1,722.99-1,345.66-1,123.37-942.884-893.455-804.697-672.19-573.854-567.834-414.098-155.812-158.286-286.483-211.744-174.266-154.07-145.951-152.239-112.085-141.979-130.68-160.566-114.698-16.404
Other Financing Activities 4,068.06-497.0598,183.9-302.716-174.6581,895.51-373.1582,105.054,906.943,290.45-126.27729.305-51.851,563.431.7642,146.362,144.49-303.6759.385971.007589.481802.266103.299-17.074798.28-12.406
Financing Cash Flow 115.789-1,008.33-372.162-839.599-1,232.1-2,606.58-2,125.473,608.21-337.817-2,365.62-1,071.51163.318329.734-288.549581.765420.025483.621-101.856409.705112.02245.931127.303452.37-240.721604.202257.402
Other Information:
Effect Of Forex Changes On Cash -20.796-39.62818.7185.914-10.85215.79-0.342-9.623-18.842-62.973.1421.12115.389-65.6232.69517.1332.966-10.0636.0622.791000000
Net Change In Cash -277.634-41.969-490.769744.999-103.19-360.27543.236-86.612-140.437390.319-75.262138.43811.255-36.7673.71245.461-58.118123.489-18.28638.34616.26152.713-12.95413.402-14.83136.875
Cash At End Of Period 278.483556.117598.0861,088.85343.856447.046807.316264.08350.692491.129100.81176.072198.424187.169223.936220.224174.763232.881109.392127.67889.33273.07120.35833.31225.13739.968