American Campus Communities Inc
NYSE:ACC

American Campus Communities Inc (NYSE:ACC)

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Income Statement

903M
Revenue
1 Year
1%
3 Years
2%
5 Years
3%
452M
Gross Proft
1 Year
-2%
3 Years
0%
5 Years
2%
137M
Operating Income
1 Year
-13%
3 Years
-6%
5 Years
-5%
19.6M
Net Income
1 Year
-73%
3 Years
-44%
5 Years
-28%
Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Revenue
Revenue
903
+3%
877
+3%
854
-2%
871
-3%
893
-3%
918
-3%
950
+1%
943
+1%
933
+2%
919
+2%
903
+2%
881
+2%
863
+2%
846
+3%
824
+3%
796
+3%
773
+0%
772
-1%
779
-1%
786
+0%
785
+2%
769
+1%
761
+1%
753
+1%
748
0%
749
+1%
743
+1%
734
+2%
718
+3%
694
+3%
676
+3%
656
+5%
622
+8%
577
+10%
523
+12%
466
+17%
398
+5%
381
+3%
368
+2%
362
-
Gross Profit
Cost of Revenue
(451)
(438)
(427)
(427)
(431)
(437)
(442)
(440)
(433)
(427)
(421)
(415)
(406)
(397)
(386)
(372)
(370)
(370)
(371)
(374)
(373)
(369)
(368)
(367)
(366)
(367)
(364)
(360)
(353)
(341)
(334)
(323)
(307)
(278)
(251)
(226)
(199)
(190)
(184)
(179)
Gross Profit
452
+3%
439
+3%
427
-4%
443
-4%
463
-4%
482
-5%
508
+1%
503
+1%
501
+2%
492
+2%
482
+4%
465
+2%
457
+2%
449
+3%
438
+3%
424
+5%
404
+0%
403
-1%
408
-1%
412
+0%
411
+3%
400
+2%
393
+2%
387
+1%
382
0%
382
+1%
379
+1%
374
+3%
365
+3%
353
+3%
342
+3%
333
+6%
315
+5%
299
+10%
273
+14%
239
+20%
199
+4%
191
+4%
185
+1%
183
-
Operating Income
Operating Expenses
(315)
(312)
(309)
(303)
(304)
(305)
(305)
(306)
(305)
(303)
(300)
(295)
(291)
(287)
(294)
(266)
(252)
(240)
(252)
(234)
(236)
(236)
(233)
(230)
(226)
(223)
(219)
(216)
(211)
(206)
(204)
(201)
(195)
(180)
(156)
(133)
(110)
(100)
(96)
(94)
Selling, General & Administrative
(41)
(40)
(39)
(36)
(36)
(35)
(33)
(31)
(30)
(30)
(35)
(35)
(33)
(35)
(31)
(31)
(31)
(28)
(24)
(23)
(22)
(22)
(21)
(21)
(20)
(20)
(19)
(19)
(19)
(18)
(17)
(17)
(20)
(23)
(23)
(23)
(20)
(15)
(14)
(13)
Depreciation & Amortization
(274)
(272)
(270)
(268)
(269)
(270)
(272)
(275)
(275)
(273)
(267)
(263)
(260)
(255)
(247)
(235)
(221)
(212)
(210)
(211)
(214)
(214)
(212)
(209)
(206)
(203)
(200)
(198)
(193)
(188)
(187)
(185)
(175)
(157)
(133)
(111)
(90)
(85)
(83)
(81)
Other Operating Expenses
0
0
0
0
0
0
0
0
0
0
3
3
3
3
(15)
0
0
0
(18)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Operating Income
137
+8%
127
+8%
118
-16%
140
-12%
158
-11%
177
-13%
203
+3%
197
+1%
195
+3%
189
+4%
182
+7%
170
+3%
166
+2%
162
+13%
144
-9%
158
+4%
151
-7%
163
+4%
157
-12%
178
+2%
175
+7%
164
+3%
160
+2%
157
+1%
156
-2%
159
-1%
160
+1%
158
+3%
153
+4%
147
+7%
138
+5%
131
+9%
121
+1%
119
+2%
116
+10%
106
+19%
89
-3%
92
+4%
88
-1%
89
-
Pre-Tax Income
Interest Income Expense
(120)
(120)
(117)
(115)
(115)
(114)
(114)
(113)
(110)
(107)
(104)
(100)
(97)
(90)
(80)
(71)
(64)
(65)
(70)
(80)
(88)
(90)
(91)
(89)
(89)
(92)
(93)
(92)
(89)
(85)
(83)
(80)
(75)
(69)
(62)
(57)
(52)
(52)
(52)
(55)
Non-Reccuring Items
(3)
(2)
0
43
29
50
50
4
26
5
47
50
42
42
0
(15)
(33)
(33)
0
(18)
0
0
(1)
(2)
(2)
(4)
(3)
(3)
(2)
0
0
0
0
0
0
0
0
0
0
0
Gain/Loss on Disposition of Assets
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1)
3
3
4
21
17
22
26
53
53
48
44
(0)
(0)
0
0
0
0
0
0
0
0
0
0
0
Total Other Income
3
4
4
4
0
0
0
0
1
0
0
1
1
0
0
0
0
0
0
0
0
0
0
0
1
0
0
0
0
0
0
(3)
(2)
(2)
(2)
0
0
(0)
(0)
0
Pre-Tax Income
17
+87%
9
+86%
5
-93%
71
-2%
73
-36%
113
-18%
139
+57%
88
-21%
112
+25%
89
-30%
127
+4%
122
+9%
111
-2%
113
+80%
63
-12%
71
+24%
57
-16%
68
-24%
90
-12%
102
-3%
105
+8%
97
+3%
94
-21%
119
+1%
118
+7%
110
+2%
108
+72%
63
+1%
62
-1%
62
+14%
55
+12%
49
+13%
43
-9%
47
-9%
52
+5%
50
+34%
37
-6%
39
+10%
36
+4%
35
-
Net Income
Tax Provision
(1)
(1)
(1)
(1)
(2)
(2)
(2)
(2)
(1)
(1)
(3)
(3)
7
6
8
8
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(1)
(0)
Income from Continuing Operations
16
8
4
70
71
112
137
87
111
89
124
119
118
120
71
79
56
67
89
101
104
96
93
118
117
109
107
61
61
61
54
48
42
47
51
49
36
39
35
34
Income to Minority Interest
3
3
4
3
2
1
(1)
(2)
(3)
(3)
(3)
(2)
(0)
(1)
(1)
(1)
(1)
(1)
(1)
(2)
(2)
(2)
(2)
(2)
(2)
(2)
(2)
(1)
(1)
(1)
(2)
(2)
(3)
(3)
(4)
(4)
(2)
(2)
(2)
(1)
Net Income (Common)
20
+70%
11
+51%
8
-90%
73
+0%
73
-35%
113
-17%
136
+60%
85
-21%
108
+26%
85
-29%
121
+3%
117
+8%
109
-1%
110
+80%
61
-12%
69
+25%
55
-16%
66
-24%
88
-12%
99
-3%
102
+8%
94
+3%
92
-21%
116
+1%
115
+7%
107
+2%
105
+66%
63
-1%
64
-45%
117
+5%
111
+7%
105
+4%
101
+86%
54
-7%
58
+3%
57
+16%
49
-2%
50
-16%
59
+5%
57
-

Balance Sheet

7.5B
Assets
1 Year
0%
3 Years
2%
5 Years
4%
4.6B
Liabilities
1 Year
3%
3 Years
9%
5 Years
10%
3B
Equity
1 Year
-5%
3 Years
-5%
5 Years
-3%
Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Assets
Cash & Cash Equivalents
42
30
41
54
44
31
177
55
56
52
46
71
51
53
56
41
16
26
34
22
32
207
387
17
45
9
18
25
19
64
31
39
25
26
15
22
18
18
33
22
Cash Equivalents
42
30
41
54
44
31
177
55
56
52
46
71
51
53
56
41
16
26
34
22
32
207
387
17
45
9
18
25
19
64
31
39
25
26
15
22
18
18
33
22
Total Receivables
22
10
14
11
22
9
12
14
27
9
14
9
45
8
10
9
16
7
8
8
17
7
7
19
24
8
8
10
15
9
8
9
17
8
7
14
10
4
3
5
Accounts Receivables
22
10
14
11
22
9
12
14
27
9
14
9
45
8
10
9
16
7
8
8
17
7
7
19
24
8
8
10
15
9
8
9
17
8
7
14
10
4
3
5
Other Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
PP&E Net
7 232
7 237
7 238
7 249
7 234
7 191
7 171
7 231
7 299
6 754
6 694
6 661
6 601
6 512
6 625
6 532
6 345
5 888
5 651
5 538
5 931
5 809
5 663
5 668
5 629
5 489
5 523
5 534
5 452
5 382
5 324
5 287
5 089
5 039
4 984
4 929
4 025
3 075
2 949
2 849
PP&E Gross
7 232
7 237
7 238
7 249
7 234
7 191
7 171
7 231
7 299
6 754
6 694
6 661
6 601
6 512
6 625
6 532
6 345
5 888
5 651
5 538
5 931
5 809
5 663
5 668
5 629
5 489
5 523
5 534
5 452
5 382
5 324
5 287
5 089
5 039
4 984
4 929
4 025
3 075
2 949
2 849
Accumulated Depreciation
1 965
1 897
1 830
1 763
1 707
1 641
1 577
1 537
1 407
1 351
1 287
1 316
1 267
1 204
1 175
1 113
1 097
1 039
987
859
816
878
827
777
741
694
709
675
658
615
570
526
486
448
417
397
362
340
318
296
Other Long-Term Assets
20
27
24
20
24
30
32
27
30
37
34
35
40
35
29
24
26
28
24
25
30
35
40
34
36
41
34
32
31
35
36
36
38
39
39
37
51
40
21
23
Other Assets
232
234
202
198
257
253
228
234
257
531
537
263
310
298
289
291
284
275
271
272
269
257
270
270
291
264
237
234
236
230
222
228
151
180
116
118
111
104
111
109
Total Assets
7 549
+0%
7 538
+0%
7 519
0%
7 531
-1%
7 582
+1%
7 515
-1%
7 620
+1%
7 560
-1%
7 669
+4%
7 383
+1%
7 325
+4%
7 039
0%
7 046
+2%
6 905
-1%
7 007
+2%
6 897
+3%
6 687
+7%
6 225
+4%
5 988
+2%
5 866
-7%
6 279
-1%
6 315
-1%
6 368
+6%
6 006
0%
6 026
+4%
5 810
0%
5 820
0%
5 835
+1%
5 754
+1%
5 721
+2%
5 621
+0%
5 598
+5%
5 320
+1%
5 292
+3%
5 160
+1%
5 119
+21%
4 215
+30%
3 241
+4%
3 116
+4%
3 009
-
Liabilities
Accrued Liabilities
494
496
491
487
484
483
478
473
470
285
283
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Debt
3 717
3 727
3 673
3 593
3 591
3 507
3 540
3 398
3 364
3 241
3 109
3 028
2 974
2 827
3 134
3 025
2 766
2 360
2 208
2 125
2 484
2 591
2 623
2 948
2 921
2 733
2 725
2 973
2 924
2 911
2 791
2 744
2 434
2 450
2 291
2 221
1 829
1 627
1 487
1 448
Minority Interest
64
65
66
67
64
59
60
148
208
247
251
250
250
201
151
146
126
69
69
61
68
78
78
71
71
66
72
60
57
59
59
54
55
81
86
86
85
72
74
71
Other Liabilities
191
145
163
185
203
161
179
157
212
162
185
191
239
196
213
188
215
179
174
158
200
165
155
145
167
116
123
122
155
114
113
110
136
96
104
107
114
76
82
78
Total Liabilities
4 566
+1%
4 503
+1%
4 452
+1%
4 417
0%
4 429
+3%
4 282
-1%
4 310
+1%
4 265
-2%
4 339
+8%
4 003
+3%
3 887
+9%
3 558
+0%
3 549
+8%
3 291
-7%
3 550
+4%
3 412
+7%
3 187
+19%
2 671
+7%
2 500
+3%
2 421
-14%
2 829
-2%
2 895
0%
2 905
-10%
3 236
0%
3 240
+9%
2 983
+0%
2 971
-8%
3 225
+0%
3 210
+2%
3 143
+4%
3 012
+1%
2 973
+11%
2 689
+0%
2 677
+6%
2 526
+2%
2 471
+18%
2 086
+15%
1 813
+8%
1 673
+2%
1 633
-
Equity
Common Stock
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
Retained Earnings
1 535
1 457
1 383
1 333
1 292
1 208
1 129
1 145
1 104
1 060
1 005
971
955
890
872
838
816
755
693
670
640
594
557
551
534
490
461
488
475
429
402
392
382
392
362
348
336
305
292
287
Additional Paid In Capital
4 538
4 515
4 473
4 472
4 473
4 469
4 468
4 459
4 456
4 460
4 456
4 458
4 456
4 508
4 333
4 327
4 321
4 312
4 184
4 119
4 096
4 021
4 026
3 326
3 327
3 323
3 316
3 103
3 023
3 013
3 012
3 018
3 014
3 007
3 001
3 002
2 471
1 737
1 734
1 664
Treasury Stock
5
5
4
4
4
4
4
4
4
3
3
3
3
3
3
3
3
2
1
1
1
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Equity
17
19
20
23
25
27
27
17
19
19
10
4
2
2
2
3
3
3
4
4
6
7
7
6
8
7
8
6
5
7
2
1
2
1
6
7
8
5
0
3
Total Equity
2 983
-2%
3 036
-1%
3 067
-2%
3 114
-1%
3 153
-2%
3 233
-2%
3 310
+0%
3 295
-1%
3 330
-1%
3 380
-2%
3 439
-1%
3 481
0%
3 497
-3%
3 614
+5%
3 457
-1%
3 485
0%
3 500
-2%
3 554
+2%
3 488
+1%
3 445
0%
3 450
+1%
3 420
-1%
3 462
+25%
2 770
-1%
2 786
-1%
2 827
-1%
2 848
+9%
2 610
+3%
2 544
-1%
2 579
-1%
2 609
-1%
2 625
0%
2 631
+1%
2 615
-1%
2 634
-1%
2 648
+24%
2 128
+49%
1 428
-1%
1 443
+5%
1 375
-
Total Liabilities & Equity
7 549
+0%
7 538
+0%
7 519
0%
7 531
-1%
7 582
+1%
7 515
-1%
7 620
+1%
7 560
-1%
7 669
+4%
7 383
+1%
7 325
+4%
7 039
0%
7 046
+2%
6 905
-1%
7 007
+2%
6 897
+3%
6 687
+7%
6 225
+4%
5 988
+2%
5 866
-7%
6 279
-1%
6 315
-1%
6 368
+6%
6 006
0%
6 026
+4%
5 810
0%
5 820
0%
5 835
+1%
5 754
+1%
5 721
+2%
5 621
+0%
5 598
+5%
5 320
+1%
5 292
+3%
5 160
+1%
5 119
+21%
4 215
+30%
3 241
+4%
3 116
+4%
3 009
-
Shares Outstanding
Common Shares Outstanding
139M
138M
138M
137M
137M
137M
137M
137M
137M
137M
137M
137M
137M
137M
137M
136M
136M
136M
134M
132M
132M
130M
130M
112M
112M
112M
112M
107M
105M
105M
105M
105M
105M
105M
105M
105M
92M
74.7M
74.7M
72.8M

Cash Flow Statement

327M
Operating Cash Flow
1 Year
-4%
3 Years
-1%
5 Years
0%
-287.7M
Capital Expenditures
1 Year
33%
3 Years
24%
5 Years
12%
39.6M
Free Cash Flow
1 Year
N/A
3 Years
N/A
5 Years
N/A
Currency: USD
Sep-2021 Jun-2021 Mar-2021 Dec-2020 Sep-2020 Jun-2020 Mar-2020 Dec-2019 Sep-2019 Jun-2019 Mar-2019 Dec-2018 Sep-2018 Jun-2018 Mar-2018 Dec-2017 Sep-2017 Jun-2017 Mar-2017 Dec-2016 Sep-2016 Jun-2016 Mar-2016 Dec-2015 Sep-2015 Jun-2015 Mar-2015 Dec-2014 Sep-2014 Jun-2014 Mar-2014 Dec-2013 Sep-2013 Jun-2013 Mar-2013 Dec-2012 Sep-2012 Jun-2012 Mar-2012 Dec-2011
Operating Cash Flow
Net Income
16
8
4
70
71
112
138
87
111
89
124
119
109
111
62
70
56
67
89
101
104
96
93
118
117
109
107
64
65
119
114
107
104
57
62
60
51
52
61
58
Depreciation & Amortization
274
272
270
268
269
270
272
275
275
273
267
263
260
255
248
235
221
212
210
211
214
214
212
209
205
203
200
198
194
190
189
188
179
162
139
117
100
94
91
89
Other Non-Cash Items
22
20
17
(29)
(12)
(34)
(48)
(2)
(27)
(7)
(35)
(38)
(28)
(29)
27
27
40
39
21
2
(13)
(17)
(21)
(49)
(49)
(44)
(41)
0
(2)
(58)
(61)
(57)
(56)
(1)
4
4
8
8
(8)
(9)
Cash Taxes Paid
0
0
0
0
0
0
0
3
0
0
0
1
0
0
0
0
0
0
0
1
0
0
0
1
0
0
0
1
0
0
0
1
0
0
0
1
0
0
0
0
Cash Interest Paid
120
113
115
109
119
119
126
115
114
104
105
102
92
89
76
72
72
76
76
93
85
92
99
89
111
106
110
113
107
108
100
100
88
82
75
67
63
66
63
64
Change in Working Capital
15
9
19
42
14
17
19
10
24
1
(8)
32
(1)
21
24
(14)
(7)
(32)
(10)
(6)
26
(8)
(31)
(14)
(38)
9
8
(2)
14
5
10
9
11
(0)
(2)
15
3
2
4
(12)
Cash from Operating Activities
327
+6%
309
0%
310
-12%
351
+3%
341
-7%
365
-4%
381
+3%
370
-3%
383
+8%
356
+2%
349
-7%
377
+11%
340
-5%
357
-1%
361
+13%
319
+2%
311
+8%
288
-7%
310
+1%
308
-7%
331
+16%
285
+12%
254
-4%
264
+12%
235
-15%
277
+1%
273
+5%
260
-4%
271
+6%
255
+2%
251
+2%
247
+3%
239
+9%
218
+8%
203
+4%
195
+21%
162
+4%
155
+4%
149
+17%
127
-
Investing Cash Flow
Capital Expenditures
(288)
(357)
(368)
(398)
(426)
(464)
(508)
(527)
(530)
(536)
(555)
(576)
(664)
(827)
(990)
(997)
(954)
(779)
(651)
(596)
(539)
(508)
(515)
(664)
(705)
(690)
(590)
(446)
(546)
(637)
(640)
(630)
(929)
(1 396)
(1 458)
(1 493)
(1 218)
(654)
(552)
(471)
Other Items
50
58
46
191
248
236
256
111
3
5
240
241
239
237
0
19
519
512
0
564
65
111
269
425
430
397
239
16
44
180
124
120
126
(17)
49
46
(10)
(20)
46
48
Cash from Investing Activities
(238)
+20%
(299)
+7%
(322)
-55%
(207)
-16%
(179)
+22%
(228)
+9%
(251)
+40%
(416)
+21%
(527)
+1%
(531)
-68%
(316)
+6%
(336)
+21%
(425)
+28%
(591)
+39%
(971)
+1%
(978)
-125%
(435)
-63%
(268)
-70%
(158)
-398%
(32)
+93%
(475)
-20%
(396)
-61%
(246)
-3%
(240)
+13%
(274)
+6%
(293)
+16%
(351)
+18%
(429)
+15%
(503)
-10%
(457)
+11%
(515)
-1%
(510)
+36%
(803)
+43%
(1 413)
0%
(1 409)
+3%
(1 448)
-18%
(1 228)
-82%
(674)
-33%
(506)
-19%
(424)
-
Financing Cash Flow
Net Issuance of Common Stock
60
38
0
0
0
0
0
0
0
0
0
0
0
1
127
191
204
266
140
816
799
736
736
213
300
306
306
89
6
0
0
0
553
0
0
1 392
914
200
272
209
Net Issuance of Debt
125
219
137
205
237
302
468
403
460
457
14
43
191
373
834
807
226
(205)
(394)
(805)
(416)
(184)
(140)
(52)
(49)
(167)
(62)
238
394
412
445
444
202
98
69
49
291
397
199
103
Cash Paid for Dividends
(262)
(261)
(261)
(261)
(261)
(260)
(260)
(259)
(257)
(255)
(254)
(251)
(248)
(245)
(241)
(237)
(232)
(227)
(223)
(219)
(208)
(198)
(188)
(179)
(174)
(169)
(164)
(159)
(156)
(154)
(152)
(150)
(147)
(140)
(128)
(118)
(106)
(99)
(96)
(94)
Other
(18)
(10)
(8)
(95)
(157)
(207)
(208)
(124)
(64)
(24)
202
209
190
137
(85)
(85)
(89)
(32)
(29)
(63)
(44)
(45)
(47)
(15)
(12)
(10)
(16)
(13)
(18)
(18)
(13)
(14)
(37)
(71)
(68)
(72)
(43)
(10)
(17)
(12)
Cash from Financing Activities
(95)
-587%
(14)
+89%
(132)
+13%
(151)
+16%
(180)
-9%
(165)
-54 833%
(0)
-
21
-85%
139
-22%
177
-
(37)
-
1
-99%
133
-50%
267
-58%
636
-6%
677
+522%
109
-
(198)
+61%
(506)
-87%
(271)
-
131
-58%
309
-15%
362
-
(33)
-
65
-
(39)
-
64
-59%
156
-31%
226
-6%
241
-14%
281
+0%
281
-51%
571
-53%
1 203
+1%
1 189
-5%
1 252
+19%
1 056
+116%
488
+36%
358
+74%
206
-
Change in Cash
Net Change in Cash
(6)
-82%
(3)
+98%
(144)
-1 842%
(7)
+58%
(18)
+36%
(28)
-
129
-
(25)
-434%
(5)
-
1
-
(4)
-
42
-13%
48
+44%
34
+32%
25
+43%
18
-
(15)
+92%
(178)
+50%
(354)
-
5
-
(13)
-
198
-46%
370
-
(8)
-
26
-
(56)
-312%
(14)
+1%
(14)
-132%
(6)
-
39
+140%
16
-6%
17
+140%
7
-9%
8
-
(18)
-1 670%
(1)
+91%
(11)
+66%
(31)
-
1
-
(91)
-