Symbol: CBL Sector: Real Estate Industry: REITs
Update: 2019-06-09 06:40:02
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2019-03-31 |
193,503,000 |
198,030,000 |
61,675,000 |
136,355,000 |
91,799,000 |
44,556,000 |
-38,976,000 |
109,981,000 |
5,161,948,000 |
4,203,476,000 |
900,501,000 |
- |
- |
21,055,000 |
- |
- |
- |
- |
Update: 2019-06-09 06:40:02
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2018-12-31 |
204,427,000 |
216,881,000 |
61,805,000 |
155,076,000 |
82,211,000 |
72,865,000 |
-54,307,000 |
118,109,000 |
5,340,853,000 |
4,308,688,000 |
964,137,000 |
57,512,000 |
- |
25,138,000 |
- |
1,367,000 |
96,835,000 |
- |
2018-09-30 |
205,056,000 |
206,878,000 |
60,912,000 |
145,966,000 |
88,034,000 |
57,932,000 |
-1,367,000 |
113,070,000 |
5,491,019,000 |
4,369,526,000 |
1,042,218,000 |
56,145,000 |
- |
20,695,000 |
- |
-4,366,000 |
100,525,000 |
- |
2018-06-30 |
212,379,000 |
214,598,000 |
62,042,000 |
152,556,000 |
87,301,000 |
65,255,000 |
-23,797,000 |
114,280,000 |
5,582,009,000 |
4,405,556,000 |
1,087,951,000 |
60,511,000 |
- |
23,428,000 |
- |
1,976,000 |
81,655,000 |
- |
2018-03-31 |
217,793,000 |
220,200,000 |
67,853,000 |
152,347,000 |
90,148,000 |
62,199,000 |
903,000 |
119,537,000 |
5,702,570,000 |
4,446,582,000 |
1,161,181,000 |
58,535,000 |
- |
23,346,000 |
- |
-9,637,000 |
98,227,000 |
- |
Update: 2019-06-09 06:40:02
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2017-12-31 |
233,760,000 |
235,356,000 |
65,638,000 |
169,718,000 |
86,722,000 |
82,996,000 |
36,464,000 |
132,694,000 |
5,704,808,000 |
4,468,330,000 |
1,140,004,000 |
68,172,000 |
- |
32,627,000 |
- |
-386,000 |
93,447,000 |
- |