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AvalonBay Communities Inc

AVB

185.645USD

+1.205+0.65%
Horário de mercado ETCotações atrasadas em 15 min
26.43BValor de mercado
23.12P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
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FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
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FY2021Q2
FY2021Q1
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FY2019Q3
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FY2018Q4
FY2018Q3
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FY2018Q1
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FY2017Q3
FY2017Q2
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FY2016Q3
FY2016Q2
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FY2015Q3
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FY2012Q3
FY2012Q2
FY2012Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
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--440.03M
--425.74M
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- Caixa e Equivalentes de Caixa
-81.50%53.26M
-72.71%108.58M
8.61%552.36M
-29.09%545.77M
13.14%287.89M
-35.11%397.89M
153.02%508.57M
404.60%769.62M
-25.91%254.47M
45.91%613.19M
-37.63%201.00M
-48.65%152.52M
165.63%343.46M
93.69%420.25M
268.21%322.29M
-7.99%297.04M
-83.38%129.30M
446.72%216.98M
-64.48%87.53M
32.53%322.82M
1134.93%778.00M
-56.70%39.69M
340.93%246.43M
139.82%243.58M
-54.10%63.00M
36.63%91.66M
55.06%55.89M
89.92%101.56M
12.77%137.24M
-68.80%67.09M
-45.31%36.04M
-70.67%53.48M
24.77%121.70M
-46.32%214.99M
-79.31%65.90M
179.93%182.31M
-49.96%97.54M
-21.39%400.51M
-27.61%318.56M
-84.70%65.13M
-49.53%194.93M
81.07%509.46M
289.72%440.03M
283.04%425.74M
-13.69%386.19M
-89.71%281.36M
-83.00%112.91M
-68.98%111.15M
80.25%447.46M
--2.73B
--664.13M
--358.26M
--248.24M
Caixa Restrito
22.26%165.85M
19.11%158.50M
-11.57%240.12M
23.80%219.58M
11.56%135.66M
9.92%133.07M
-5.10%271.54M
64.74%177.38M
6.71%121.60M
-2.01%121.06M
151.97%286.13M
-43.35%107.67M
13.46%113.95M
27.94%123.54M
19.70%113.56M
104.65%190.07M
11.07%100.43M
9.81%96.56M
7.41%94.87M
7.41%92.88M
-31.60%90.43M
-30.33%87.93M
-60.87%88.33M
-65.18%86.47M
-1.46%132.21M
-6.39%126.20M
24.65%225.70M
3.61%248.33M
-45.69%134.16M
17.25%134.82M
8.89%181.07M
127.43%239.68M
45.00%247.01M
9.69%114.98M
63.21%166.29M
1.65%105.39M
65.74%170.36M
9.62%104.82M
--101.89M
--103.68M
13.37%102.79M
-2.98%95.63M
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-3.19%90.66M
97.33%98.56M
97.45%98.43M
28.10%94.40M
28.47%93.65M
--49.95M
--49.85M
--73.69M
--72.89M
Outros Ativos Circulantes
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--95.66M
--93.39M
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Total de Ativos Circulantes
-48.27%219.11M
-49.70%267.08M
1.59%792.48M
-19.18%765.35M
12.63%423.55M
-27.69%530.96M
60.14%780.11M
263.96%947.00M
-17.78%376.06M
35.02%734.25M
11.76%487.13M
-46.58%260.19M
99.11%457.41M
73.44%543.79M
138.95%435.85M
17.18%487.11M
-73.55%229.73M
145.69%313.53M
-45.51%182.40M
25.95%415.69M
344.87%868.42M
-41.42%127.61M
18.88%334.75M
-5.67%330.04M
-28.08%195.21M
7.90%217.86M
29.70%281.59M
19.36%349.90M
-26.39%271.41M
-38.81%201.91M
-6.49%217.11M
1.90%293.15M
37.63%368.72M
-34.70%329.98M
-44.78%232.19M
70.43%287.69M
-10.01%267.90M
-16.49%505.33M
-21.51%420.44M
-67.48%168.81M
-37.57%297.72M
59.27%605.09M
153.48%535.69M
152.56%519.13M
-11.87%476.85M
-86.35%379.92M
-70.40%211.34M
-52.41%205.55M
68.50%541.11M
--2.78B
--713.98M
--431.95M
--321.14M
Ativos não Circulantes
Ativos Fixos Líquidos
16.05%153.74M
14.84%154.65M
15.62%156.99M
-2.19%133.20M
-4.18%132.47M
-6.04%134.67M
-6.81%135.78M
-7.47%136.18M
-6.76%138.26M
-2.23%143.33M
-4.34%145.70M
-4.70%147.17M
-3.02%148.29M
-5.58%146.60M
-3.37%152.32M
-3.42%154.44M
-5.82%152.90M
24.25%155.27M
30.03%157.62M
30.66%159.91M
30.53%162.34M
--124.96M
--121.22M
--122.38M
--124.37M
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Despesas antecipadas de longo prazo
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--210.51M
--205.14M
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Outros ativos não circulantes
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--316.39M
--310.42M
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Total de ativos não circulantes
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--15.35B
--15.14B
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Total de ativos
2.78%21.22B
1.56%21.00B
2.93%21.31B
1.11%21.04B
2.31%20.64B
1.08%20.68B
2.67%20.70B
5.25%20.81B
1.54%20.17B
2.79%20.46B
3.52%20.16B
2.34%19.77B
3.92%19.87B
3.66%19.90B
1.75%19.48B
-0.18%19.32B
-3.88%19.12B
0.41%19.20B
0.44%19.14B
2.21%19.35B
6.71%19.89B
4.03%19.12B
2.13%19.06B
1.40%18.93B
-0.03%18.64B
-0.19%18.38B
2.66%18.66B
4.05%18.67B
3.72%18.65B
3.06%18.41B
3.35%18.18B
3.15%17.94B
5.49%17.98B
5.53%17.87B
4.81%17.59B
6.58%17.40B
4.79%17.04B
4.90%16.93B
5.67%16.78B
4.23%16.32B
4.45%16.26B
5.30%16.14B
4.86%15.88B
4.58%15.66B
2.52%15.57B
37.35%15.33B
68.87%15.15B
77.99%14.97B
84.29%15.19B
--11.16B
--8.97B
--8.41B
--8.24B
Passivos
Passivos circulantes
-Dividendos a pagar
3.19%251.38M
2.90%244.97M
2.91%244.52M
2.92%244.08M
4.38%243.60M
5.33%238.07M
5.39%237.60M
5.39%237.15M
3.93%233.38M
0.28%226.02M
0.30%225.44M
0.33%225.01M
0.33%224.55M
0.22%225.39M
-0.12%224.76M
-0.82%224.28M
-0.85%223.81M
4.40%224.90M
5.32%225.03M
5.96%226.13M
6.09%225.71M
5.50%215.41M
4.92%213.65M
4.88%213.40M
4.72%212.75M
4.13%204.19M
3.85%203.62M
3.77%203.47M
3.84%203.17M
5.77%196.09M
5.77%196.08M
5.78%196.08M
5.66%195.66M
8.26%185.40M
8.35%185.38M
11.59%185.37M
12.06%185.17M
11.78%171.26M
11.74%171.10M
9.20%166.11M
9.93%165.24M
10.64%153.21M
10.59%153.13M
9.86%152.11M
8.57%150.31M
24.79%138.48M
46.09%138.46M
47.77%138.46M
49.65%138.44M
--110.97M
--94.78M
--93.70M
--92.51M
-Outros a pagar
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--28.86M
--40.47M
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Despesas acumuladas
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--250.44M
--227.92M
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Dívidas e arrendamentos de curto prazo
170.47%835.20M
73.25%536.37M
-14.20%300.46M
-14.05%301.61M
-13.60%308.79M
-49.11%309.59M
43675.00%350.20M
19001.80%350.90M
4423.48%357.40M
461.87%608.30M
-45.21%800.00K
-23.90%1.84M
-8.76%7.90M
191.44%108.26M
13.62%1.46M
-96.58%2.41M
-88.61%8.66M
-92.96%37.15M
-98.08%1.28M
3.58%70.66M
-35.40%76.03M
344.98%527.51M
3981.87%66.86M
23.99%68.22M
67.03%117.68M
41.26%118.55M
-93.12%1.64M
111.52%55.02M
-90.02%70.46M
-88.47%83.92M
425.22%23.82M
-89.93%26.01M
169.36%706.14M
--728.03M
-95.80%4.54M
129.22%258.19M
-56.29%262.16M
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2227.90%108.04M
1133.75%112.64M
268.54%599.81M
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5.60%4.64M
-6.02%9.13M
-42.59%162.75M
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-97.86%4.39M
-95.34%9.71M
25.14%283.48M
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--205.21M
--208.57M
--226.54M
-Passivos de arrendamento de curto prazo
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--806.00K
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Outros passivos circulantes
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--78.28M
--89.41M
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Total de passivos circulantes
50.84%1.66B
25.99%1.35B
0.09%1.17B
-4.53%1.07B
-3.19%1.10B
-19.77%1.07B
52.63%1.17B
64.88%1.12B
56.93%1.14B
65.67%1.33B
4.69%768.05M
-2.24%680.73M
-2.08%723.89M
9.27%803.47M
0.97%733.64M
-5.24%696.33M
-4.65%739.24M
-39.63%735.31M
-10.40%726.56M
-2.79%734.87M
-7.57%775.28M
48.09%1.22B
11.69%810.92M
0.81%756.00M
8.21%838.73M
6.10%822.48M
-0.61%726.02M
9.22%749.96M
-44.77%775.13M
-44.01%775.17M
0.51%730.48M
-27.82%686.62M
48.31%1.40B
122.12%1.38B
-2.22%726.80M
31.34%951.23M
-20.64%946.31M
5.69%623.28M
27.15%743.33M
26.05%724.26M
63.77%1.19B
5.14%589.70M
5.90%584.58M
5.37%574.59M
-15.62%728.12M
24.44%560.89M
-13.43%552.01M
-18.45%545.30M
31.58%862.90M
--450.73M
--637.62M
--668.69M
--655.78M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-2.69%7.47B
-1.71%7.54B
6.29%8.07B
4.68%8.07B
-0.45%7.67B
-0.46%7.67B
-5.24%7.60B
-3.59%7.71B
-3.60%7.71B
-3.60%7.71B
3.08%8.02B
6.22%8.00B
6.22%8.00B
6.22%8.00B
2.85%7.78B
-0.37%7.53B
-6.07%7.53B
11.20%7.53B
3.67%7.56B
3.78%7.56B
15.78%8.02B
-2.21%6.77B
-3.15%7.29B
-3.09%7.28B
-8.05%6.92B
-4.47%6.92B
6.02%7.53B
7.90%7.52B
19.52%7.53B
14.96%7.25B
4.30%7.10B
5.93%6.97B
0.95%6.30B
-2.39%6.30B
9.89%6.81B
3.16%6.58B
4.66%6.24B
-0.50%6.46B
-0.62%6.20B
2.06%6.37B
-4.12%5.96B
5.79%6.49B
2.36%6.24B
6.88%6.25B
10.17%6.22B
59.29%6.13B
69.12%6.09B
85.29%5.84B
78.99%5.64B
--3.85B
--3.60B
--3.15B
--3.15B
-Dívida de longo prazo
-2.69%7.47B
-1.71%7.54B
6.29%8.07B
4.68%8.07B
-0.45%7.67B
-0.46%7.67B
-5.24%7.60B
-3.59%7.71B
-3.60%7.71B
-3.60%7.71B
3.08%8.02B
6.22%8.00B
6.22%8.00B
6.22%8.00B
2.85%7.78B
-0.37%7.53B
-6.07%7.53B
11.20%7.53B
3.67%7.56B
3.78%7.56B
15.78%8.02B
-2.21%6.77B
-3.15%7.29B
-3.09%7.28B
-8.05%6.92B
-4.47%6.92B
6.02%7.53B
7.90%7.52B
19.52%7.53B
14.96%7.25B
4.30%7.10B
5.93%6.97B
0.95%6.30B
-2.39%6.30B
9.89%6.81B
3.16%6.58B
4.66%6.24B
-0.50%6.46B
-0.62%6.20B
2.06%6.37B
-4.12%5.96B
5.79%6.49B
2.36%6.24B
6.88%6.25B
10.17%6.22B
59.29%6.13B
69.12%6.09B
85.29%5.84B
78.99%5.64B
--3.85B
--3.60B
--3.15B
--3.15B
Total de passivos não circulantes
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--6.24B
--6.25B
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Total de passivos
4.18%9.30B
1.85%9.06B
5.58%9.42B
3.39%9.30B
-0.88%8.93B
-3.36%8.89B
-0.32%8.93B
1.58%8.99B
1.27%9.01B
2.62%9.20B
3.03%8.95B
5.27%8.85B
5.21%8.89B
6.18%8.97B
2.55%8.69B
-0.86%8.41B
-5.87%8.45B
3.89%8.45B
2.78%8.47B
3.65%8.48B
13.62%8.98B
4.99%8.13B
-0.16%8.25B
-1.03%8.18B
-4.85%7.90B
-3.45%7.74B
5.40%8.26B
8.03%8.27B
7.82%8.31B
4.33%8.02B
3.89%7.84B
1.65%7.65B
7.18%7.70B
8.58%7.69B
8.48%7.54B
6.05%7.53B
0.43%7.19B
-0.01%7.08B
1.89%6.95B
4.09%7.10B
3.00%7.16B
5.52%7.08B
2.27%6.82B
6.75%6.82B
6.75%6.95B
55.63%6.71B
57.34%6.67B
67.14%6.39B
69.31%6.51B
--4.31B
--4.24B
--3.82B
--3.84B
Patrimônio líquido dos acionistas
Capital ordinário
0.25%11.31B
0.24%11.32B
0.22%11.31B
0.19%11.29B
4.79%11.28B
4.85%11.29B
5.03%11.28B
5.05%11.27B
0.50%10.77B
0.46%10.77B
0.51%10.74B
0.53%10.73B
0.50%10.71B
0.49%10.72B
0.03%10.69B
-0.67%10.67B
-0.69%10.66B
-0.67%10.67B
1.45%10.68B
2.13%10.74B
2.62%10.73B
4.17%10.74B
2.73%10.53B
2.72%10.52B
2.23%10.46B
0.69%10.31B
0.20%10.25B
0.19%10.24B
0.68%10.23B
1.28%10.24B
1.28%10.23B
1.27%10.22B
0.90%10.16B
0.37%10.11B
0.51%10.10B
6.62%10.09B
7.58%10.07B
7.63%10.07B
7.54%10.05B
2.74%9.47B
3.98%9.36B
4.07%9.36B
4.09%9.35B
2.68%9.21B
0.39%9.00B
26.84%8.99B
80.21%8.98B
85.87%8.97B
92.15%8.97B
--7.09B
--4.98B
--4.83B
--4.67B
Lucros retidos
40.82%576.49M
23.65%591.25M
17.08%551.44M
-21.18%421.13M
1.86%409.37M
-1.46%478.16M
0.88%470.98M
173.95%534.29M
44.07%401.88M
101.49%485.22M
263.20%466.89M
-28.40%195.03M
491.61%278.95M
91.09%240.82M
332.75%128.55M
58.09%272.40M
-79.10%47.15M
-55.46%126.02M
-90.98%29.70M
-34.37%172.30M
-26.46%225.66M
-19.35%282.91M
96.09%329.32M
46.62%262.55M
139.42%306.86M
85.98%350.78M
16.11%167.95M
74.62%179.07M
-4.12%128.17M
98.75%188.61M
301.32%144.65M
176.07%102.55M
191.06%133.67M
147.93%94.90M
119.75%36.04M
38.00%-134.81M
34.27%-146.80M
25.87%-197.99M
28.76%-182.49M
37.44%-217.44M
36.74%-223.33M
22.64%-267.08M
44.10%-256.16M
-12.51%-347.59M
-70.82%-353.03M
-142.57%-345.25M
-197.92%-458.23M
-111.72%-308.94M
0.79%-206.67M
---142.33M
---153.81M
---145.92M
---208.30M
Reservas de capital
0.25%11.31B
0.24%11.31B
0.22%11.30B
0.19%11.29B
4.79%11.28B
4.85%11.29B
5.03%11.28B
5.05%11.27B
0.50%10.76B
0.46%10.77B
0.51%10.74B
0.53%10.73B
0.50%10.71B
0.49%10.72B
0.03%10.68B
-0.67%10.67B
-0.69%10.66B
-0.67%10.66B
1.45%10.68B
2.13%10.74B
2.62%10.73B
4.17%10.74B
2.73%10.53B
2.72%10.52B
2.23%10.46B
0.69%10.31B
0.20%10.25B
0.19%10.24B
0.68%10.23B
1.28%10.24B
1.28%10.23B
1.27%10.22B
0.90%10.16B
0.37%10.11B
0.51%10.10B
6.62%10.09B
7.58%10.07B
7.63%10.07B
7.54%10.05B
2.74%9.47B
3.98%9.36B
4.07%9.35B
4.09%9.34B
2.68%9.21B
0.39%9.00B
26.84%8.99B
80.22%8.98B
85.88%8.97B
92.16%8.97B
--7.09B
--4.98B
--4.83B
--4.67B
Ganhos (perdas) fora do lucro retido
28.95%30.43M
112.86%34.30M
6.62%28.23M
164.00%28.03M
1541.24%23.60M
1031.74%16.12M
772.29%26.47M
272.20%10.62M
109.63%1.44M
105.45%1.42M
111.27%3.04M
83.03%-6.17M
60.57%-14.94M
35.14%-26.11M
36.82%-26.92M
21.54%-36.34M
19.67%-37.88M
-27.77%-40.25M
5.47%-42.62M
-39.58%-46.32M
-47.80%-47.16M
-20.50%-31.50M
-112.24%-45.08M
-46.14%-33.18M
-32.05%-31.91M
30.13%-26.14M
48.02%-21.24M
47.18%-22.71M
15.56%-24.16M
-22.65%-37.42M
59.35%-40.86M
58.26%-42.99M
63.21%-28.61M
2.79%-30.51M
-163.30%-100.53M
-160.60%-103.00M
-89.91%-77.77M
26.17%-31.39M
13.37%-38.18M
13.36%-39.52M
12.98%-40.95M
12.58%-42.52M
12.02%-44.07M
56.57%-45.62M
55.86%-47.06M
54.97%-48.63M
54.78%-50.09M
-1.19%-105.04M
-40.26%-106.62M
---108.01M
---110.79M
---103.81M
---76.01M
Minoritários
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----
0.00%77.00K
-86.03%77.00K
-86.00%77.00K
-86.15%77.00K
-86.40%77.00K
-3.33%551.00K
-3.17%550.00K
-3.30%556.00K
-4.23%566.00K
-4.68%570.00K
-7.64%568.00K
-6.35%575.00K
-8.94%591.00K
-7.72%598.00K
16.04%615.00K
-81.92%614.00K
-79.99%649.00K
-89.34%648.00K
-91.18%530.00K
-42.94%3.40M
-46.43%3.24M
-30.46%6.08M
-32.06%6.01M
-32.19%5.95M
-22.02%6.06M
-12.17%8.74M
-11.31%8.84M
-13.32%8.78M
-22.32%7.77M
--9.95M
-5.85%9.97M
-3.63%10.13M
-21.68%10.00M
----
-34.17%10.59M
-46.40%10.51M
-38.97%12.77M
251.94%12.60M
-30.41%16.08M
-19.48%19.60M
97.22%20.91M
-66.74%3.58M
110.29%23.11M
70.34%24.35M
--10.61M
--10.76M
--10.99M
--14.29M
Patrimônio total
1.72%11.92B
1.34%11.94B
0.91%11.88B
-0.63%11.74B
4.88%11.71B
4.71%11.78B
5.06%11.78B
8.22%11.82B
1.75%11.17B
2.93%11.25B
3.91%11.21B
0.09%10.92B
2.89%10.98B
1.68%10.93B
1.11%10.79B
0.35%10.91B
-2.23%10.67B
-2.17%10.75B
-1.34%10.67B
1.12%10.87B
1.63%10.91B
3.33%10.99B
3.96%10.82B
3.33%10.75B
3.83%10.74B
2.33%10.64B
0.59%10.40B
1.10%10.40B
0.64%10.34B
2.11%10.39B
2.95%10.34B
4.31%10.29B
4.25%10.28B
3.34%10.18B
2.21%10.05B
7.00%9.87B
8.22%9.86B
8.74%9.85B
8.52%9.83B
4.34%9.22B
5.62%9.11B
5.13%9.06B
6.90%9.06B
2.96%8.84B
-0.65%8.62B
25.84%8.62B
79.21%8.47B
87.02%8.58B
97.38%8.68B
--6.85B
--4.73B
--4.59B
--4.40B
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KeyAI