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PLD Prologis

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  • 116.780
  • -1.020-0.87%
Close Nov 29 13:00 ET
  • 116.770
  • -0.010-0.01%
Pre 04:57 ET
108.13BMarket Cap35.28P/E (TTM)

Prologis 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
-27.14%1.43B
-10.59%1.09B
-5.28%1.06B
30.21%5.37B
-15.90%1.07B
63.65%1.97B
51.15%1.22B
32.41%1.11B
37.73%4.13B
78.42%1.28B
Net income from continuing operations
33.07%1.06B
-28.76%911.5M
26.51%630.81M
-8.50%3.25B
9.00%675.88M
-25.26%799.14M
97.93%1.28B
-59.12%498.63M
12.92%3.56B
-52.33%620.07M
Operating gains losses
-39.52%-452.07M
-40.72%-391.74M
-127.29%-165.9M
45.08%-862.18M
-42.33%-186.82M
-32.09%-324.01M
9.14%-278.37M
91.77%-72.99M
20.68%-1.57B
85.83%-131.25M
Depreciation and amortization
1.13%649.27M
5.84%637.31M
5.83%637.51M
37.08%2.48B
4.24%638.35M
59.92%642.01M
49.68%602.17M
51.86%602.37M
14.88%1.81B
54.32%612.37M
Deferred tax
-282.87%-8.3M
492.03%10.17M
-90.66%334K
40.12%17.71M
171.07%7.87M
-26.25%4.54M
-82.93%1.72M
-52.26%3.58M
855.98%12.64M
-26.92%-11.08M
Other non cash items
4.85%-146.65M
5.12%-124.28M
-11.78%-140.92M
-120.69%-538.42M
11.19%-127.26M
-377.15%-154.12M
-296.95%-130.98M
-256.17%-126.06M
-74.79%-243.97M
-285.46%-143.28M
Change In working capital
-80.57%125.13M
68.80%-140.2M
-1,029.40%-100.26M
367.21%70.07M
-167.23%-135.32M
454.59%643.94M
-817.43%-449.33M
250.60%10.79M
84.19%-26.22M
220.87%201.28M
-Change in receivables
-97.05%15.54M
96.66%-22.61M
-12.36%44.84M
-36.77%-184.99M
-125.12%-86.76M
218.25%526.98M
-376.88%-676.38M
-52.13%51.16M
60.54%-135.25M
351.86%345.33M
-Change in payables and accrued expense
53.77%266.24M
-160.27%-76.12M
-114.63%-133.32M
133.93%255.06M
2,554.16%17.72M
-21.50%173.15M
1,903.93%126.31M
40.16%-62.12M
-38.35%109.03M
97.55%-722K
-Change in other current assets
-178.76%-156.65M
-141.17%-41.47M
-154.19%-11.78M
----
----
-229.26%-56.19M
--100.73M
--21.74M
----
----
Cash from discontinued investing activities
Operating cash flow
-27.14%1.43B
-10.59%1.09B
-5.28%1.06B
30.21%5.37B
-15.90%1.07B
63.65%1.97B
51.15%1.22B
32.41%1.11B
37.73%4.13B
78.42%1.28B
Investing cash flow
Cash flow from continuing investing activities
-144.81%-1.71B
81.99%-623.83M
-3.33%-1.08B
-42.68%-6.42B
6.24%-1.21B
44.19%-698.95M
-54.48%-3.46B
-470.16%-1.05B
-126.08%-4.5B
-17.75%-1.29B
Net business purchase and sale
-126.46%-78.72M
-129.03%-33.63M
-1,303.48%-313.48M
117.54%64.09M
102.30%5.33M
40.29%-34.76M
310.33%115.86M
-8.91%-22.34M
50.61%-365.37M
32.27%-231.57M
Net investment purchase and sale
--0
-93.15%1.09M
94.57%10.36M
-37.51%34.88M
-65.41%4M
-47.95%9.65M
-30.09%15.91M
79.77%5.32M
522.65%55.82M
249.80%11.56M
Net other investing changes
----
----
----
--37M
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-144.81%-1.71B
81.99%-623.83M
-3.33%-1.08B
-42.68%-6.42B
6.24%-1.21B
44.19%-698.95M
-54.48%-3.46B
-470.16%-1.05B
-126.08%-4.5B
-17.75%-1.29B
Financing cash flow
Cash flow from continuing financing activities
142.48%445.06M
-115.61%-355.8M
-98.61%2.39M
1,040.25%1.32B
77.39%-84.01M
-505.52%-1.05B
16,960.50%2.28B
-28.90%172.41M
111.48%115.79M
-206.01%-371.52M
Net issuance payments of debt
924.44%1.4B
-80.30%630.82M
-10.58%998.33M
62.26%4.92B
66.20%767.32M
-118.77%-170.16M
396.12%3.2B
9.89%1.12B
122.63%3.03B
-42.84%461.68M
Net common stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-10.74%-892.86M
-10.60%-892.81M
-10.58%-891.81M
-29.42%-3.23B
-10.47%-808.57M
-37.21%-806.29M
-37.35%-807.23M
-37.31%-806.51M
-33.20%-2.49B
-56.24%-731.96M
Net other financing activities
8.76%-64.97M
18.77%-93.82M
24.26%-104.13M
12.45%-366.95M
57.77%-42.76M
-17.49%-71.21M
-62.11%-115.5M
26.10%-137.48M
15.68%-419.14M
-996.91%-101.24M
Cash from discontinued financing activities
Financing cash flow
142.48%445.06M
-115.61%-355.8M
-98.61%2.39M
1,040.25%1.32B
77.39%-84.01M
-505.52%-1.05B
16,960.50%2.28B
-28.90%172.41M
111.48%115.79M
-206.01%-371.52M
Net cash flow
Beginning cash position
12.66%598.35M
-4.19%500.59M
90.46%530.39M
-49.92%278.48M
16.43%740.84M
21.39%531.11M
-72.68%522.5M
-49.92%278.48M
-7.02%556.12M
8.75%636.28M
Current changes in cash
-24.17%168.79M
248.59%106.82M
-111.04%-26.22M
206.66%273.94M
43.16%-216.85M
6.39%222.6M
102.11%30.64M
-82.63%237.55M
-10,871.29%-256.84M
-1,315.31%-381.5M
Effect of exchange rate changes
206.75%13.73M
58.87%-9.06M
-155.38%-3.58M
-5.97%-22.04M
-73.02%6.39M
-22.92%-12.86M
5.11%-22.04M
159.85%6.47M
47.52%-20.8M
1,285.44%23.7M
End cash Position
5.40%780.87M
12.66%598.35M
-4.19%500.59M
90.46%530.39M
90.46%530.39M
16.43%740.84M
21.39%531.11M
-72.68%522.5M
-49.92%278.48M
-49.92%278.48M
Free cash flow
-27.14%1.43B
-10.59%1.09B
-5.28%1.06B
30.21%5.37B
-15.90%1.07B
63.65%1.97B
51.15%1.22B
32.41%1.11B
37.73%4.13B
78.42%1.28B
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 -27.14%1.43B -10.59%1.09B -5.28%1.06B 30.21%5.37B -15.90%1.07B 63.65%1.97B 51.15%1.22B 32.41%1.11B 37.73%4.13B 78.42%1.28B
Net income from continuing operations 33.07%1.06B -28.76%911.5M 26.51%630.81M -8.50%3.25B 9.00%675.88M -25.26%799.14M 97.93%1.28B -59.12%498.63M 12.92%3.56B -52.33%620.07M
Operating gains losses -39.52%-452.07M -40.72%-391.74M -127.29%-165.9M 45.08%-862.18M -42.33%-186.82M -32.09%-324.01M 9.14%-278.37M 91.77%-72.99M 20.68%-1.57B 85.83%-131.25M
Depreciation and amortization 1.13%649.27M 5.84%637.31M 5.83%637.51M 37.08%2.48B 4.24%638.35M 59.92%642.01M 49.68%602.17M 51.86%602.37M 14.88%1.81B 54.32%612.37M
Deferred tax -282.87%-8.3M 492.03%10.17M -90.66%334K 40.12%17.71M 171.07%7.87M -26.25%4.54M -82.93%1.72M -52.26%3.58M 855.98%12.64M -26.92%-11.08M
Other non cash items 4.85%-146.65M 5.12%-124.28M -11.78%-140.92M -120.69%-538.42M 11.19%-127.26M -377.15%-154.12M -296.95%-130.98M -256.17%-126.06M -74.79%-243.97M -285.46%-143.28M
Change In working capital -80.57%125.13M 68.80%-140.2M -1,029.40%-100.26M 367.21%70.07M -167.23%-135.32M 454.59%643.94M -817.43%-449.33M 250.60%10.79M 84.19%-26.22M 220.87%201.28M
-Change in receivables -97.05%15.54M 96.66%-22.61M -12.36%44.84M -36.77%-184.99M -125.12%-86.76M 218.25%526.98M -376.88%-676.38M -52.13%51.16M 60.54%-135.25M 351.86%345.33M
-Change in payables and accrued expense 53.77%266.24M -160.27%-76.12M -114.63%-133.32M 133.93%255.06M 2,554.16%17.72M -21.50%173.15M 1,903.93%126.31M 40.16%-62.12M -38.35%109.03M 97.55%-722K
-Change in other current assets -178.76%-156.65M -141.17%-41.47M -154.19%-11.78M ---- ---- -229.26%-56.19M --100.73M --21.74M ---- ----
Cash from discontinued investing activities
Operating cash flow -27.14%1.43B -10.59%1.09B -5.28%1.06B 30.21%5.37B -15.90%1.07B 63.65%1.97B 51.15%1.22B 32.41%1.11B 37.73%4.13B 78.42%1.28B
Investing cash flow
Cash flow from continuing investing activities -144.81%-1.71B 81.99%-623.83M -3.33%-1.08B -42.68%-6.42B 6.24%-1.21B 44.19%-698.95M -54.48%-3.46B -470.16%-1.05B -126.08%-4.5B -17.75%-1.29B
Net business purchase and sale -126.46%-78.72M -129.03%-33.63M -1,303.48%-313.48M 117.54%64.09M 102.30%5.33M 40.29%-34.76M 310.33%115.86M -8.91%-22.34M 50.61%-365.37M 32.27%-231.57M
Net investment purchase and sale --0 -93.15%1.09M 94.57%10.36M -37.51%34.88M -65.41%4M -47.95%9.65M -30.09%15.91M 79.77%5.32M 522.65%55.82M 249.80%11.56M
Net other investing changes ---- ---- ---- --37M ---- ---- ---- ---- ---- ----
Cash from discontinued investing activities
Investing cash flow -144.81%-1.71B 81.99%-623.83M -3.33%-1.08B -42.68%-6.42B 6.24%-1.21B 44.19%-698.95M -54.48%-3.46B -470.16%-1.05B -126.08%-4.5B -17.75%-1.29B
Financing cash flow
Cash flow from continuing financing activities 142.48%445.06M -115.61%-355.8M -98.61%2.39M 1,040.25%1.32B 77.39%-84.01M -505.52%-1.05B 16,960.50%2.28B -28.90%172.41M 111.48%115.79M -206.01%-371.52M
Net issuance payments of debt 924.44%1.4B -80.30%630.82M -10.58%998.33M 62.26%4.92B 66.20%767.32M -118.77%-170.16M 396.12%3.2B 9.89%1.12B 122.63%3.03B -42.84%461.68M
Net common stock issuance ---- ---- ---- --0 ---- ---- ---- ---- --0 ----
Cash dividends paid -10.74%-892.86M -10.60%-892.81M -10.58%-891.81M -29.42%-3.23B -10.47%-808.57M -37.21%-806.29M -37.35%-807.23M -37.31%-806.51M -33.20%-2.49B -56.24%-731.96M
Net other financing activities 8.76%-64.97M 18.77%-93.82M 24.26%-104.13M 12.45%-366.95M 57.77%-42.76M -17.49%-71.21M -62.11%-115.5M 26.10%-137.48M 15.68%-419.14M -996.91%-101.24M
Cash from discontinued financing activities
Financing cash flow 142.48%445.06M -115.61%-355.8M -98.61%2.39M 1,040.25%1.32B 77.39%-84.01M -505.52%-1.05B 16,960.50%2.28B -28.90%172.41M 111.48%115.79M -206.01%-371.52M
Net cash flow
Beginning cash position 12.66%598.35M -4.19%500.59M 90.46%530.39M -49.92%278.48M 16.43%740.84M 21.39%531.11M -72.68%522.5M -49.92%278.48M -7.02%556.12M 8.75%636.28M
Current changes in cash -24.17%168.79M 248.59%106.82M -111.04%-26.22M 206.66%273.94M 43.16%-216.85M 6.39%222.6M 102.11%30.64M -82.63%237.55M -10,871.29%-256.84M -1,315.31%-381.5M
Effect of exchange rate changes 206.75%13.73M 58.87%-9.06M -155.38%-3.58M -5.97%-22.04M -73.02%6.39M -22.92%-12.86M 5.11%-22.04M 159.85%6.47M 47.52%-20.8M 1,285.44%23.7M
End cash Position 5.40%780.87M 12.66%598.35M -4.19%500.59M 90.46%530.39M 90.46%530.39M 16.43%740.84M 21.39%531.11M -72.68%522.5M -49.92%278.48M -49.92%278.48M
Free cash flow -27.14%1.43B -10.59%1.09B -5.28%1.06B 30.21%5.37B -15.90%1.07B 63.65%1.97B 51.15%1.22B 32.41%1.11B 37.73%4.13B 78.42%1.28B
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 --

Analysis

Analyst Rating

No Data

Price Target

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