Digital Realty Trust Inc (DLR)

Industry REIT - Specialty

This stock can be held in an Investment ISA and an Investment Account
Sell

$175.50

Buy

$178.00

arrow-down$-0.09 (-0.05%)

Digital Realty Trust Inc is a real estate investment trust. It owns and operates IT-related properties includes datacenter infrastructure that supports the applications and day-to-day operations of social networking and mobile communications.
Prices updated at 06 Jun 2025, 00:56 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
2,458m3,046m3,209m3,904m4,428m4,692m5,477m5,555m
1,563m1,948m2,016m2,389m2,650m2,674m2,879m3,036m
556m595m627m671m760m662m728m757m
22.6319.5319.5517.1817.1614.1013.2813.63
248m331m580m356m1,709m378m949m602m
1,365m1,852m2,128m2,100m3,601m2,289m3,158m2,868m
Sales, General and administrative161m164m211m351m401m422m449m480m
Interest expenses259m322m353m333m294m299m438m453m
Provision for income taxes8m2m12m38m73m32m76m55m
Operating expenses1,007m1,353m1,389m1,719m1,890m2,013m2,151m2,279m
Income before taxes264m343m611m401m1,820m412m1,026m643m
Net income available to common shareholders173m250m493m263m1,681m337m908m562m
0.991.212.371.015.951.183.041.74
Net interest income-255m-318m-353m-333m-294m-299m-438m-453m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.991.212.3515.941.1131.61
Free cash flow per share5.92326.66047.01356.4646.29255.66925.30116.0041
Book value/share44.870742.517539.912559.648758.16356.09656.026660.9393
Debt equity ratio0.8899011.0981131.2741390.849390.8430690.944560.9330940.795649

Balance sheet

20172018201920202021202220232024
Current assets429m435m625m712m814m1,111m3,382m5,128m
Current liabilities1,736m3,029m1,479m2,043m2,281m4,383m4,408m4,086m
Total capital18,447m19,312m19,768m30,491m31,055m32,030m34,731m36,443m
Total debt8,649m11,101m10,816m15,007m14,960m18,068m18,968m18,009m
Total equity10,349m9,859m9,879m17,718m18,005m17,583m19,118m21,340m
Total non current liabilities--------
Loans8,098m9,454m9,888m12,773m13,050m14,446m15,614m15,103m
Total assets21,404m23,767m23,068m36,076m36,370m41,485m44,113m45,284m
Total liabilities--------
Cash and cash equivalents51,000127m90m109m143m142m1,625m3,871m
Common stock205m206m209m280m284m291m312m337m

Cash flow

20172018201920202021202220232024
Cash at beginning of period22m13m135m97m124m151m151m1,636m
Cash dividends paid-715m-931m-997m-1,239m-1,379m-1,451m-1,521m-1,633m
1,023m1,385m1,514m1,707m1,702m1,659m1,635m2,261m
Investments (gains) losses-1,357m-3,036m-275m-2,599m-1,062m-4,699m-1,115m-1,906m
13m135m97m124m151m151m1,636m3,877m
Net income--------
1,023m1,385m1,514m1,707m1,702m1,659m1,635m2,261m
--------
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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