Digital Realty Trust Key Executives

This section highlights Digital Realty Trust's key executives, including their titles and compensation details.

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Digital Realty Trust Earnings

This section highlights Digital Realty Trust's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: July 23, 2025
Time: Before Market
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: April 24, 2025
EPS: $-0.10
Est. EPS: $-
Revenue: $226.22M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q1 2025 2025-04-24 N/A N/A
Read Transcript Q4 2024 2025-02-13 N/A N/A
Read Transcript Q3 2024 2024-10-24 N/A N/A
Read Transcript Q2 2024 2024-07-25 N/A N/A
Read Transcript Q1 2024 2024-05-02 N/A N/A
Read Transcript Q4 2023 2024-02-15 N/A N/A
Read Transcript Q3 2023 2023-10-26 N/A N/A
Read Transcript Q2 2023 2023-07-27 N/A N/A
Read Transcript Q1 2023 2023-04-27 N/A N/A

Digital Realty Trust, Inc. (DLR-PL)

Digital Realty supports the world's leading enterprises and service providers by delivering the full spectrum of data center, colocation and interconnection solutions. PlatformDIGITALR, the company's global data center platform, provides customers a trusted foundation and proven Pervasive Datacenter Architecture PDxTM solution methodology for scaling digital business and efficiently managing data gravity challenges. Digital Realty's global data center footprint gives customers access to the connected communities that matter to them with more than 284 facilities in 48 metros across 23 countries on six continents.

Real Estate REIT - Office

$20.53

Stock Price

$6.91B

Market Cap

3.94K

Employees

Austin, TX

Location

Financial Statements

Access annual & quarterly financial statements for Digital Realty Trust, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Revenue $5.55B $5.48B $4.69B $4.43B $3.90B
Cost of Revenue $- $2.60B $2.00B $1.76B $1.50B
Gross Profit $5.55B $2.88B $2.69B $2.67B $2.40B
Gross Profit Ratio 100.00% 52.56% 57.34% 60.23% 61.55%
Research and Development Expenses $- $- $0 $0 $0
General and Administrative Expenses $480.02M $449.06M $414.78M $410.74M $358.18M
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $480.02M $449.06M $414.78M $410.74M $358.18M
Other Expenses $4.60B $1.91B $1.59B $1.49B $1.37B
Operating Expenses $5.08B $2.35B $2.01B $1.90B $1.73B
Cost and Expenses $5.08B $4.92B $4.01B $3.66B $3.23B
Interest Income $- $- $- $- $20.22M
Interest Expense $452.84M $437.74M $299.13M $293.85M $333.02M
Depreciation and Amortization $1.77B $1.69B $4.03B $3.67B $3.23B
EBITDA $1.87B $3.16B $2.24B $2.25B $2.04B
EBITDA Ratio 33.60% 57.67% 47.74% 50.73% 52.18%
Operating Income $471.86M $524.46M $589.97M $694.01M $557.53M
Operating Income Ratio 8.49% 9.58% 12.57% 15.67% 14.28%
Total Other Income Expenses Net $75.87M $501.43M $-178.09M $1.13B $-156.75M
Income Before Tax $547.73M $1.03B $411.88M $1.82B $400.78M
Income Before Tax Ratio 9.86% 18.73% 8.78% 41.11% 10.27%
Income Tax Expense $-54.76M $75.58M $31.55M $72.80M $38.05M
Net Income $602.49M $948.84M $377.68M $1.71B $356.40M
Net Income Ratio 10.85% 17.32% 8.05% 38.60% 9.13%
EPS $1.74 $3.10 $1.18 $5.95 $1.37
EPS Diluted $1.61 $3.00 $1.11 $5.94 $1.36
Weighted Average Shares Outstanding 323.34M 298.60M 286.33M 282.47M 260.10M
Weighted Average Shares Outstanding Diluted 331.55M 309.06M 297.92M 283.22M 262.52M
SEC Filing Source Source Source Source Source


Breakdown March 31, 2025 December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020
Revenue $226.22M $1.44B $1.43B $1.36B $1.33B $1.37B $1.40B $1.37B $1.34B $1.23B $1.19B $1.14B $1.13B $1.11B $1.13B $1.09B $1.09B $1.06B $1.02B $993.00M
Cost of Revenue $- $662.69M $656.36M $1.03B $1.02B $1.07B $679.82M $646.41M $616.00M $533.02M $517.59M $468.71M $482.12M $461.86M $462.24M $426.01M $410.78M $416.90M $398.41M $377.72M
Gross Profit $226.22M $773.17M $774.85M $324.13M $307.25M $302.00M $722.61M $719.85M $722.72M $700.08M $674.49M $670.61M $645.20M $649.31M $670.89M $667.18M $679.61M $645.71M $626.26M $615.28M
Gross Profit Ratio 100.00% 53.85% 54.14% 23.89% 23.08% 22.05% 51.53% 52.69% 53.99% 56.77% 56.58% 58.86% 57.23% 58.44% 59.21% 61.03% 62.33% 60.77% 61.12% 61.96%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $- $126.82M $117.60M $120.39M $115.21M $116.80M $112.33M $110.35M $111.92M $109.03M $99.79M $105.83M $100.13M $107.21M $101.80M $100.66M $101.07M $104.99M $93.36M $94.02M
Selling and Marketing Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Selling General and Administrative Expenses $-100.29M $126.82M $117.60M $120.39M $115.21M $116.80M $112.33M $110.35M $111.92M $109.03M $99.79M $105.83M $100.13M $107.21M $101.80M $100.66M $101.07M $104.99M $93.36M $94.02M
Other Expenses $- $502.04M $488.96M $62.26M $-126.05M $-122.38M $625.94M $502.10M $433.46M $433.75M $389.80M $377.04M $389.79M $-4.35M $-2.95M $10.12M $369.48M $360.56M $366.14M $349.19M
Operating Expenses $-100.29M $628.85M $606.57M $545.21M $126.05M $122.38M $534.24M $543.58M $545.38M $542.77M $489.59M $482.86M $489.92M $486.09M $471.35M $471.94M $470.54M $465.55M $459.50M $443.21M
Cost and Expenses $100.29M $1.29B $1.26B $1.15B $1.15B $1.19B $1.21B $1.19B $1.16B $1.08B $1.01B $951.58M $972.04M $947.95M $933.59M $897.95M $881.33M $882.45M $857.91M $820.92M
Interest Income $- $- $- $- $- $- $- $- $- $- $- $- $3.05M $- $- $- $- $- $4.35M $22.16M
Interest Expense $-46.69M $104.74M $123.80M $114.76M $109.53M $113.64M $110.77M $111.12M $102.22M $86.88M $76.50M $69.02M $66.72M $71.76M $71.42M $75.01M $82.84M $77.85M $89.50M $79.87M
Depreciation and Amortization $-111.16M $455.36M $460.00M $425.34M $431.10M $420.48M $420.61M $432.57M $421.20M $430.13M $388.70M $376.97M $382.13M $378.88M $369.04M $368.98M $369.73M $359.92M $365.84M $349.17M
EBITDA $14.77M $750.71M $652.48M $629.61M $612.31M $600.10M $606.30M $605.20M $613.71M $571.46M $571.95M $560.92M $535.34M $884.82M $567.20M $561.68M $576.37M $539.47M $531.68M $517.59M
EBITDA Ratio 6.53% 52.28% 45.59% 46.41% 46.00% 43.81% 43.23% 44.30% 45.84% 46.34% 47.98% 49.23% 47.49% 79.63% 50.06% 51.38% 52.86% 50.77% 51.89% 52.12%
Operating Income $125.93M $144.32M $168.29M $204.26M $181.21M $179.62M $58.23M $154.86M $177.33M $120.98M $157.38M $170.37M $219.29M $131.50M $184.37M $185.63M $192.52M $160.26M $144.41M $152.81M
Operating Income Ratio 55.67% 10.05% 11.76% 15.06% 13.61% 13.11% 4.15% 11.33% 13.25% 9.81% 13.20% 14.95% 19.45% 11.83% 16.27% 16.98% 17.66% 15.08% 14.09% 15.39%
Total Other Income Expenses Net $-157.81M $-233.99M $-115.72M $79.77M $160.88M $-93.43M $704.94M $-23.04M $-87.04M $-137.90M $100.99M $-90.10M $-51.08M $962.86M $-34.12M $-12.25M $209.70M $-97.43M $-129.80M $-65.34M
Income Before Tax $-31.88M $-89.67M $52.56M $89.66M $310.25M $40.61M $763.17M $131.82M $90.29M $-16.91M $258.37M $80.27M $90.16M $1.09B $150.25M $173.38M $402.22M $62.83M $14.60M $87.47M
Income Before Tax Ratio -14.09% -6.24% 3.67% 6.61% 23.31% 2.96% 54.42% 9.65% 6.74% -1.37% 21.67% 7.05% 8.00% 98.49% 13.26% 15.86% 36.89% 5.91% 1.42% 8.81%
Income Tax Expense $- $4.93M $12.43M $14.99M $22.41M $20.72M $17.23M $16.17M $21.45M $-17.68M $19.58M $16.41M $13.24M $3.96M $13.71M $47.58M $7.55M $3.32M $16.05M $11.49M
Net Income $-31.88M $-89.67M $51.19M $80.22M $281.51M $28.31M $733.62M $118.18M $68.73M $761.00K $226.89M $53.25M $63.10M $1.06B $124.09M $127.37M $372.41M $44.18M $-136.00K $74.83M
Net Income Ratio -14.09% -6.24% 3.58% 5.91% 21.15% 2.07% 52.31% 8.65% 5.13% 0.06% 19.03% 4.67% 5.60% 95.18% 10.95% 11.65% 34.15% 4.16% -0.01% 7.54%
EPS $-0.10 $-0.27 $0.09 $0.22 $0.87 $0.09 $2.40 $0.37 $0.20 $0.00 $0.79 $0.19 $0.22 $3.73 $0.44 $0.45 $1.32 $0.16 $0.00 $0.28
EPS Diluted $-0.10 $-0.27 $0.09 $0.20 $0.82 $0.09 $2.33 $0.35 $0.19 $0.00 $0.77 $0.19 $0.22 $3.71 $0.44 $0.45 $1.32 $0.16 $0.00 $0.28
Weighted Average Shares Outstanding 323.34M 323.34M 327.98M 319.54M 312.29M 305.78M 301.83M 295.39M 291.22M 289.36M 286.69M 284.69M 284.53M 283.87M 283.11M 281.79M 281.10M 280.12M 266.93M 267.57M
Weighted Average Shares Outstanding Diluted 331.55M 336.25M 336.25M 327.95M 320.80M 305.78M 311.34M 306.82M 303.06M 301.71M 296.42M 285.11M 285.02M 284.87M 283.80M 282.43M 281.92M 281.12M 270.21M 270.74M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Cash and Cash Equivalents $3.87B $1.63B $141.77M $142.70M $108.50M
Short Term Investments $- $- $17.12M $- $-
Cash and Short Term Investments $3.87B $1.63B $141.77M $142.70M $108.50M
Net Receivables $1.26B $1.28B $969.29M $671.72M $603.11M
Inventory $- $- $1.71B $1 $-
Other Current Assets $- $478.50M $- $- $-
Total Current Assets $5.13B $3.38B $1.11B $814.42M $711.61M
Property Plant Equipment Net $1.18B $1.41B $1.35B $1.41B $1.39B
Goodwill $8.93B $9.24B $9.21B $7.94B $8.33B
Intangible Assets $2.18B $2.50B $3.09B $2.74B $3.17B
Goodwill and Intangible Assets $11.11B $11.74B $12.30B $10.67B $11.50B
Long Term Investments $2.64B $2.30B $1.99B $1.81B $1.15B
Tax Assets $- $- $41.48B $21.31B $21.11B
Other Non-Current Assets $25.23B $25.28B $-16.75B $359.46M $221.23M
Total Non-Current Assets $40.16B $40.73B $40.37B $35.56B $35.36B
Other Assets $- $- $- $- $-
Total Assets $45.28B $44.11B $41.48B $36.37B $36.08B
Account Payables $2.06B $2.17B $1.87B $1.54B $1.42B
Short Term Debt $1.61B $1.32B $117.46M $- $-
Tax Payables $- $- $- $- $-
Deferred Revenue $539.80M $- $369.65M $336.58M $371.66M
Other Current Liabilities $418.66M $356.93M $354.38M $675.31M $1.05B
Total Current Liabilities $4.63B $3.85B $4.38B $2.28B $2.84B
Long Term Debt $16.40B $17.99B $17.95B $14.96B $14.24B
Deferred Revenue Non-Current $- $- $21.86B $17.85B $-698.31M
Deferred Tax Liabilities Non-Current $1.08B $1.15B $1.19B $666.45M $698.31M
Other Non-Current Liabilities $- $129.48M $9.34M $-61.59M $-
Total Non-Current Liabilities $17.48B $19.27B $17.48B $15.57B $14.74B
Other Liabilities $- $- $- $- $-
Total Liabilities $22.11B $23.12B $21.86B $17.85B $17.59B
Preferred Stock $731.69M $731.69M $731.69M $731.69M $950.94M
Common Stock $3.34M $3.09M $2.89M $2.82M $2.79M
Retained Earnings $- $- $-4.70B $-3.63B $-4.00B
Accumulated Other Comprehensive Income Loss $-1.18B $-6.01B $-595.80M $-173.88M $135.01M
Other Total Stockholders Equity $21.79B $24.40B $22.04B $21.08B $20.63B
Total Stockholders Equity $21.34B $19.12B $17.58B $18.00B $17.72B
Total Equity $22.77B $21.00B $19.62B $18.52B $18.49B
Total Liabilities and Stockholders Equity $45.28B $44.11B $41.48B $36.37B $36.08B
Minority Interest $1.43B $1.88B $2.04B $519.21M $770.65M
Total Liabilities and Total Equity $45.28B $44.11B $41.48B $36.37B $36.08B
Total Investments $2.64B $2.30B $1.99B $1.81B $1.15B
Total Debt $18.01B $18.97B $18.07B $14.96B $14.77B
Net Debt $14.14B $17.34B $17.93B $14.82B $14.66B


Balance Sheet Charts

Breakdown March 31, 2025 December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020
Cash and Cash Equivalents $385.53M $3.87B $2.18B $2.28B $1.19B $1.63B $1.06B $124.52M $131.41M $141.77M $176.97M $99.23M $157.96M $142.70M $116.00M $120.48M $221.14M $108.50M $971.30M $505.17M
Short Term Investments $- $- $- $45.28M $27.15M $8.54M $32.48M $17.31M $- $17.12M $22.31B $20.80B $20.93B $- $- $- $- $- $21.07B $19.81B
Cash and Short Term Investments $385.53M $3.87B $2.18B $2.28B $1.19B $1.63B $1.06B $124.52M $131.41M $141.77M $176.97M $99.23M $157.96M $142.70M $116.00M $120.48M $221.14M $108.50M $971.30M $505.17M
Net Receivables $- $1.26B $1.27B $1.22B $1.22B $1.28B $1.33B $1.16B $1.07B $969.29M $861.12M $797.21M $774.58M $671.72M $610.42M $630.09M $657.10M $603.11M $585.51M $542.75M
Inventory $- $- $- $-45.28M $-27.15M $-8.54M $2.97B $-17.31M $- $1.71B $-19.06M $1.45B $20.93B $1 $1 $- $1 $-15.15M $-15.28M $-
Other Current Assets $- $- $- $- $287.06M $478.50M $- $608.89M $- $- $- $- $- $- $- $- $- $- $- $10.98M
Total Current Assets $385.53M $5.13B $3.45B $3.50B $2.70B $3.38B $2.39B $1.88B $1.20B $1.11B $1.04B $896.43M $932.54M $814.42M $726.42M $750.57M $878.24M $711.61M $1.56B $1.06B
Property Plant Equipment Net $- $1.18B $1.23B $1.21B $1.23B $1.41B $1.27B $1.29B $1.32B $1.35B $1.25B $1.31B $1.36B $1.41B $1.44B $1.45B $1.50B $1.39B $1.36B $1.38B
Goodwill $- $8.93B $9.40B $9.13B $9.11B $9.24B $9.00B $9.15B $9.20B $9.21B $8.73B $7.55B $7.80B $7.94B $8.06B $8.19B $8.13B $8.33B $8.01B $7.79B
Intangible Assets $- $2.18B $2.37B $2.32B $2.36B $2.50B $2.51B $2.83B $3.02B $3.09B $3.04B $2.52B $2.64B $2.74B $2.87B $2.96B $3.06B $3.17B $3.16B $3.19B
Goodwill and Intangible Assets $- $11.11B $11.76B $11.44B $11.46B $11.74B $11.50B $11.97B $12.21B $12.30B $11.76B $10.07B $10.44B $10.67B $10.93B $11.14B $11.18B $11.50B $11.17B $10.98B
Long Term Investments $- $2.64B $2.46B $2.33B $2.40B $2.30B $2.18B $2.04B $2.00B $1.99B $1.91B $1.94B $2.04B $1.81B $1.29B $1.12B $970.70M $1.15B $1.06B $1.03B
Tax Assets $- $- $- $24.15B $-2.44B $23.76B $24.18B $24.79B $- $- $- $- $- $21.31B $21.13B $21.32B $20.73B $21.11B $19.91B $19.08B
Other Non-Current Assets $- $25.23B $26.40B $968.36M $27.28B $1.52B $401.07M $414.08M $25.22B $24.73B $23.25B $21.74B $21.90B $359.46M $316.86M $365.31M $279.73M $221.23M $373.35M $333.92M
Total Non-Current Assets $- $40.16B $41.85B $40.10B $39.93B $40.73B $39.54B $40.51B $40.75B $40.37B $38.18B $35.06B $35.75B $35.56B $35.12B $35.40B $34.66B $35.36B $33.88B $32.80B
Other Assets $7.35B $- $- $- $- $-1.00K $-1.00K $1.00K $- $- $- $- $1.00K $- $- $- $- $- $- $-
Total Assets $7.74B $45.28B $45.30B $43.61B $42.63B $44.11B $41.93B $42.39B $41.95B $41.48B $39.22B $35.96B $36.68B $36.37B $35.85B $36.15B $35.54B $36.08B $35.44B $33.86B
Account Payables $- $2.06B $2.14B $1.87B $1.75B $1.31B $2.15B $2.09B $1.92B $1.87B $1.62B $1.62B $1.57B $1.54B $1.34B $1.37B $1.31B $1.42B $2.19B $1.83B
Short Term Debt $- $1.61B $1.79B $1.85B $1.90B $185.70M $109.33M $111.78M $2.51B $117.46M $294.06M $629.04M $- $- $- $- $- $- $- $-
Tax Payables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Revenue $- $539.80M $423.80M $416.70M $937.92M $401.87M $385.52M $417.69M $392.02M $369.65M $341.55M $341.14M $346.91M $336.58M $341.78M $362.61M $362.01M $371.66M $353.90M $348.25M
Other Current Liabilities $- $418.66M $- $-1.01B $130.41M $1.95B $939.36M $2.26B $- $354.38M $1.62B $469.86M $- $675.31M $- $360.57M $451.01M $1.05B $351.33M $-9.87M
Total Current Liabilities $- $4.63B $4.35B $4.24B $3.78B $4.81B $4.23B $4.46B $4.83B $4.38B $3.88B $3.06B $2.52B $2.28B $2.17B $2.39B $1.76B $2.84B $2.31B $1.89B
Long Term Debt $- $16.40B $16.54B $17.36B $17.41B $18.97B $16.58B $19.04B $16.81B $17.95B $16.83B $15.08B $15.86B $14.96B $15.63B $15.47B $14.84B $14.24B $14.45B $13.96B
Deferred Revenue Non-Current $- $- $- $-1.05B $-19.31B $1.54B $-2.53B $- $- $- $- $- $- $- $- $- $- $-698.31M $- $-
Deferred Tax Liabilities Non-Current $- $1.08B $1.22B $1.13B $1.12B $1.15B $1.09B $1.13B $1.16B $1.19B $1.15B $611.58M $649.11M $666.45M $725.96M $742.13M $650.54M $698.31M $- $-
Other Non-Current Liabilities $- $- $- $- $-524.69M $-851.46M $- $-654.54M $- $9.34M $-1.96B $-811.00M $- $- $- $2.03M $-451.01M $- $229.82M $283.76M
Total Non-Current Liabilities $- $17.48B $17.77B $16.96B $18.01B $18.31B $17.66B $18.45B $17.97B $17.48B $16.35B $15.23B $15.91B $15.57B $15.87B $15.55B $15.40B $14.74B $14.68B $14.25B
Other Liabilities $- $- $- $- $- $-1.00K $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $- $22.11B $22.12B $21.20B $21.79B $23.12B $21.90B $22.92B $22.80B $21.86B $20.23B $18.28B $18.43B $17.85B $18.04B $17.95B $17.16B $17.59B $17.00B $16.14B
Preferred Stock $- $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $731.69M $950.94M $950.94M $950.94M $1.43B
Common Stock $- $3.34M $3.29M $3.23M $3.10M $3.09M $3.00M $2.97M $2.89M $2.89M $2.85M $2.82M $2.82M $2.82M $2.82M $2.81M $2.79M $2.79M $2.78M $2.67M
Retained Earnings $- $- $- $-5.70B $-5.37B $-5.26B $-4.90B $-5.25B $-5.00B $-4.70B $-4.34B $-4.21B $-3.92B $-3.63B $-4.36B $-4.15B $-3.95B $-4.00B $-3.73B $-3.39B
Accumulated Other Comprehensive Income Loss $- $-7.47B $-657.37M $-859.80M $-794.70M $-6.01B $-883.00M $-741.48M $-5.65B $-595.80M $-862.80M $-475.56M $-188.84M $-173.88M $-111.56M $31.73M $-77.78M $135.01M $-123.62M $-358.35M
Other Total Stockholders Equity $- $28.08B $21.17B $26.39B $24.51B $24.40B $23.24B $22.88B $27.12B $22.04B $21.53B $25.30B $21.07B $21.08B $16.65B $25.00B $20.70B $20.63B $20.57B $19.29B
Total Stockholders Equity $- $21.34B $21.25B $20.54B $19.02B $19.12B $18.19B $17.62B $17.21B $17.58B $17.06B $17.14B $17.70B $18.00B $17.27B $17.46B $17.62B $17.72B $17.67B $16.98B
Total Equity $- $23.18B $23.18B $22.41B $20.84B $21.00B $20.04B $19.47B $19.15B $19.62B $18.98B $17.67B $18.25B $18.52B $17.81B $18.21B $18.39B $18.49B $18.44B $17.72B
Total Liabilities and Stockholders Equity $7.74B $45.28B $45.30B $43.61B $42.63B $44.11B $41.93B $42.39B $41.95B $41.48B $39.22B $35.96B $36.68B $36.37B $35.85B $36.15B $35.54B $36.08B $35.44B $33.86B
Minority Interest $- $1.84B $1.93B $1.87B $1.82B $1.88B $1.85B $1.85B $1.94B $2.04B $1.92B $532.63M $553.23M $519.21M $533.06M $748.08M $761.68M $770.65M $769.91M $738.71M
Total Liabilities and Total Equity $7.74B $45.28B $45.30B $43.61B $42.63B $44.11B $41.93B $42.39B $41.95B $41.48B $39.22B $35.96B $36.68B $36.37B $35.85B $36.15B $35.54B $36.08B $35.44B $33.86B
Total Investments $- $2.64B $2.46B $2.38B $2.40B $2.30B $2.18B $2.04B $2.00B $1.99B $24.22B $22.74B $22.98B $1.81B $1.29B $1.12B $970.70M $1.15B $22.13B $20.84B
Total Debt $- $18.01B $18.33B $17.68B $18.38B $18.97B $18.27B $19.15B $19.32B $18.07B $17.12B $15.71B $15.86B $14.96B $15.63B $15.47B $14.84B $14.77B $14.32B $13.82B
Net Debt $-385.53M $14.14B $16.15B $15.39B $17.18B $17.34B $17.21B $19.03B $19.19B $17.93B $16.95B $15.61B $15.70B $14.82B $15.51B $15.35B $14.62B $14.66B $13.35B $13.32B

Annual Cash Flow

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Net Income $588.33M $950.31M $380.32M $1.75B $362.73M
Depreciation and Amortization $1.77B $1.69B $1.58B $1.49B $1.37B
Deferred Income Tax $- $- $- $-1.36B $-120.61M
Stock Based Compensation $75.61M $80.53M $92.46M $84.08M $74.58M
Change in Working Capital $- $-379.75M $-230.34M $-309.83M $-8.42M
Accounts Receivables $-342.06M $-155.32M $-272.45M $-425.98M $2.43M
Inventory $- $- $272.45M $425.98M $-74.71M
Accounts Payables $366.73M $-224.43M $42.11M $116.15M $72.28M
Other Working Capital $- $- $-272.45M $-425.98M $-8.42M
Other Non Cash Items $-174.25M $-711.17M $-160.99M $52.11M $31.89M
Net Cash Provided by Operating Activities $2.26B $1.63B $1.66B $1.70B $1.71B
Investments in Property Plant and Equipment $- $- $-2.64B $-2.52B $-2.18B
Acquisitions Net $-508.00M $-146.77M $-2.23B $-189.35M $-23.24M
Purchases of Investments $- $- $-296.10M $827.03M $-144.32M
Sales Maturities of Investments $- $- $271.57M $1.69B $70.02M
Other Investing Activities $-1.40B $-968.34M $194.50M $-872.37M $-323.12M
Net Cash Used for Investing Activities $-1.91B $-1.12B $-4.70B $-1.06B $-2.60B
Debt Repayment $37.30M $334.35M $3.39B $727.38M $710.18M
Common Stock Issued $3.65B $2.21B $928.43M $172.10M $1.89B
Common Stock Repurchased $- $- $- $-201.25M $-500.00M
Dividends Paid $-1.63B $-1.52B $-1.45B $-1.38B $-1.24B
Other Financing Activities $8.61M $-57.49M $96.39M $-110.91M $-415.13M
Net Cash Used Provided by Financing Activities $2.06B $963.47M $2.97B $-590.63M $935.69M
Effect of Forex Changes on Cash $-178.52M $2.63M $70.08M $-22.04M $-16.48M
Net Change in Cash $2.24B $1.49B $-789.00K $27.83M $26.40M
Cash at End of Period $3.88B $1.64B $150.70M $151.49M $123.65M
Cash at Beginning of Period $1.64B $150.70M $151.49M $123.65M $97.25M
Operating Cash Flow $2.26B $1.63B $1.66B $1.70B $1.71B
Capital Expenditure $- $- $-2.64B $-2.52B $-2.18B
Free Cash Flow $2.26B $1.63B $-983.71M $-818.54M $-472.14M

Cash Flow Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Net Income $186.47M $40.13M $80.22M $281.51M $19.89M $745.94M $115.65M $68.73M $761.00K $238.79M $63.86M $76.91M $1.09B $136.54M $125.80M $394.68M $59.51M $-1.45M $75.98M $228.70M
Depreciation and Amortization $455.36M $460.00M $425.34M $431.10M $420.48M $420.61M $432.57M $421.20M $430.13M $388.70M $376.97M $382.13M $378.88M $369.04M $368.98M $369.73M $359.92M $365.84M $349.17M $291.46M
Deferred Income Tax $- $- $- $- $57.87M $-666.66M $-84.07M $- $- $- $- $- $-1.04B $-34.64M $-11.17M $-276.98M $10.54M $57.50M $-6.94M $-212.32M
Stock Based Compensation $14.93M $22.62M $31.50M $16.74M $25.75M $19.23M $18.05M $17.50M $30.21M $21.29M $22.42M $18.55M $18.05M $18.37M $20.01M $27.65M $19.64M $19.36M $21.03M $14.55M
Change in Working Capital $189.53M $17.93M $-2.19M $-180.59M $-48.60M $-137.69M $-39.08M $-154.38M $40.75M $-59.86M $8.93M $-220.15M $-28.28M $-101.11M $23.55M $-204.00M $37.63M $20.12M $38.04M $-104.20M
Accounts Receivables $-113.17M $14.59M $-210.45M $-33.03M $188.45M $-82.72M $-119.09M $-141.96M $4.50M $-28.64M $-79.52M $-168.79M $-184.88M $-94.60M $-28.94M $-117.56M $2.43M $-54.74M $-13.07M $19.29M
Inventory $- $- $- $- $-188.45M $82.72M $119.09M $- $-4.50M $28.64M $79.52M $- $-878.69M $- $- $878.69M $-30.39M $- $- $-
Accounts Payables $302.69M $3.34M $208.26M $-147.56M $-237.05M $-54.97M $80.01M $-12.42M $36.25M $-31.22M $88.45M $-51.36M $156.60M $-6.51M $52.49M $-86.43M $72.28M $74.86M $51.11M $-63.71M
Other Working Capital $- $- $-210.45M $-33.03M $188.45M $-82.72M $-119.09M $- $4.50M $-28.64M $-79.52M $-168.79M $878.69M $-94.60M $-28.94M $-878.69M $-6.70M $20.12M $38.04M $-59.77M
Other Non Cash Items $-76.81M $25.84M $712.27M $830.02M $-13.08M $-23.06M $21.27M $-3.32M $-45.42M $-169.53M $33.72M $20.25M $28.28M $12.17M $-5.12M $16.78M $38.57M $7.00M $8.43M $8.47M
Net Cash Provided by Operating Activities $769.48M $566.51M $573.21M $352.27M $462.31M $358.36M $464.39M $349.73M $456.42M $419.39M $505.89M $277.69M $451.94M $400.37M $522.05M $327.88M $525.80M $468.37M $485.71M $226.66M
Investments in Property Plant and Equipment $- $- $-655.49M $-659.32M $-1.06B $-1.10B $-629.98M $- $-889.58M $-686.49M $-548.29M $-518.73M $-772.70M $-666.63M $-572.92M $-508.52M $- $- $- $-
Acquisitions Net $-271.96M $-249.47M $12.89M $-102.01M $-88.49M $-3.90M $-50.36M $-4.01M $-108.64M $-1.92B $-49.75M $-150.20M $-30.22M $3.17M $-175.48M $13.17M $-11.08M $-34.73M $-16.67M $39.24M
Purchases of Investments $- $163.32M $-41.96M $-121.36M $-324.04M $-12.42M $528.39M $- $-55.55M $-40.60M $-49.75M $-150.20M $- $- $- $- $- $- $- $-
Sales Maturities of Investments $- $8.21M $438.32M $899.69M $391.08M $2.32B $101.59M $- $67.57M $204.00M $598.04M $- $964.67M $19.00M $-16.21M $726.28M $52.14M $- $- $-
Other Investing Activities $-240.03M $-1.04B $-33.42M $-31.82M $64.18M $-21.68M $-479.63M $-745.00M $14.73M $140.68M $-658.99M $-568.90M $148.31M $-624.35M $-568.62M $172.28M $-1.12B $-805.98M $-524.70M $-176.68M
Net Cash Used for Investing Activities $-511.99M $-1.12B $-279.66M $-14.81M $-1.02B $1.18B $-530.00M $-749.01M $-971.47M $-2.30B $-708.74M $-719.09M $118.10M $-621.17M $-744.10M $185.46M $-1.08B $-840.70M $-541.37M $-137.44M
Debt Repayment $656.57M $111.56M $-632.25M $-98.59M $-46.99M $-488.81M $-262.88M $1.13B $-209.04M $1.90B $476.43M $1.23B $-508.78M $412.80M $580.36M $243.01M $-3.77M $125.92M $10.94M $622.85M
Common Stock Issued $920.59M $806.20M $1.83B $98.05M $1.13B $335.31M $742.23M $- $527.55M $400.88M $- $- $3.79M $92.87M $75.44M $- $-1.21M $1.25B $637.69M $2.19M
Common Stock Repurchased $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-201.25M $- $-250.00M $-250.00M $- $-
Dividends Paid $-10.19M $-418.76M $-415.78M $-788.52M $-10.18M $-388.47M $-384.01M $-737.98M $-10.16M $-369.10M $-366.48M $-704.91M $-9.95M $-347.36M $-348.15M $-673.75M $-13.77M $-332.64M $-332.31M $-560.60M
Other Financing Activities $-25.48M $-22.61M $77.21M $-20.65M $-800.00K $-50.64M $-1.91M $-4.15M $93.26M $402.30M $44.84M $-43.13M $1.48M $39.87M $-90.90M $14.07M $-276.71M $-208.24M $-2.51M $26.58M
Net Cash Used Provided by Financing Activities $1.54B $476.40M $855.12M $-788.29M $1.07B $-592.61M $93.42M $390.91M $401.62M $1.93B $154.79M $478.30M $-513.46M $198.18M $141.32M $-416.67M $-295.46M $826.32M $313.82M $91.01M
Effect of Forex Changes on Cash $-104.39M $-27.05M $-60.52M $13.44M $46.38M $-8.26M $-34.80M $-693.00K $78.17M $23.00M $-11.07M $-20.04M $-32.18M $21.21M $-21.46M $10.39M $-13.45M $13.57M $2.18M $-18.78M
Net Change in Cash $1.69B $-99.95M $1.09B $-431.71M $564.02M $937.80M $-6.98M $-9.07M $-35.25M $76.72M $-59.12M $16.85M $24.39M $-1.42M $-102.20M $107.06M $-862.94M $467.56M $260.33M $161.45M
Cash at End of Period $3.88B $2.18B $2.28B $1.19B $1.64B $1.07B $134.65M $141.63M $150.70M $185.94M $109.22M $168.34M $151.49M $127.09M $128.51M $230.71M $123.65M $986.59M $519.03M $258.70M
Cash at Beginning of Period $2.18B $2.28B $1.19B $1.63B $1.07B $134.65M $141.63M $150.70M $185.94M $109.22M $168.34M $151.49M $127.09M $128.51M $230.71M $123.65M $986.59M $519.03M $258.70M $97.25M
Operating Cash Flow $769.48M $566.51M $573.21M $352.27M $462.31M $358.36M $464.39M $349.73M $456.42M $419.39M $505.89M $277.69M $451.94M $400.37M $522.05M $327.88M $525.80M $468.37M $485.71M $226.66M
Capital Expenditure $- $- $-655.49M $-659.32M $-1.06B $-1.10B $-629.98M $- $-889.58M $-686.49M $-548.29M $-518.73M $-772.70M $-666.63M $-572.92M $-508.52M $- $- $- $-
Free Cash Flow $769.48M $566.51M $-82.27M $-307.04M $-596.83M $-739.44M $-165.59M $349.73M $-433.15M $-267.11M $-42.40M $-241.05M $-320.76M $-266.26M $-50.88M $-180.65M $525.80M $468.37M $485.71M $226.66M

Digital Realty Trust Dividends

Explore Digital Realty Trust's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

2.85%

Dividend Payout Ratio

271.08%

Dividend Paid & Capex Coverage Ratio

1.38x

Digital Realty Trust Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.325 $0.325 March 14, 2025 March 14, 2025 March 31, 2025
$0.325 $0.325 December 13, 2024 December 13, 2024 December 31, 2024
$0.325 $0.325 September 13, 2024 September 13, 2024 September 30, 2024
$0.325 $0.325 June 14, 2024 June 14, 2024 June 28, 2024
$0.325 $0.325 March 14, 2024 March 15, 2024 March 28, 2024
$0.325 $0.325 December 14, 2023 December 15, 2023 December 29, 2023
$0.325 $0.325 September 14, 2023 September 15, 2023 September 29, 2023
$0.325 $0.325 June 14, 2023 June 15, 2023 June 30, 2023
$0.325 $0.325 March 14, 2023 March 15, 2023 March 31, 2023
$0.325 $0.325 December 14, 2022 December 15, 2022 December 30, 2022
$0.325 $0.325 September 14, 2022 September 15, 2022 September 30, 2022
$0.325 $0.325 June 14, 2022 June 15, 2022 June 30, 2022
$0.325 $0.325 March 14, 2022 March 15, 2022 March 31, 2022
$0.325 $0.325 December 14, 2021 December 15, 2021 December 31, 2021
$0.325 $0.325 September 14, 2021 September 15, 2021 September 30, 2021
$0.325 $0.325 June 14, 2021 June 15, 2021 June 30, 2021
$0.325 $0.325 March 12, 2021 March 15, 2021 March 31, 2021
$0.325 $0.325 December 14, 2020 December 15, 2020 December 31, 2020
$0.325 $0.325 September 14, 2020 September 15, 2020 September 30, 2020
$0.325 $0.325 June 12, 2020 June 15, 2020 June 30, 2020

Digital Realty Trust News

Read the latest news about Digital Realty Trust, including recent articles, headlines, and updates.

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