Recent Annual Filings for CPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,852,144,000 $7,137,000 $173,066,000 $774,877,000 $-725,485,000 $-235,838,000
2023 $9,383,737,000 $3,451,000 $411,075,000 $794,950,000 $-417,214,000 $250,609,000
2022 $9,327,935,000 $5,188,000 $663,473,000 $744,712,000 $109,930,000 $-601,542,000
2021 $7,976,784,000 $10,532,000 $314,020,000 $577,467,000 $421,371,000 $194,447,000
2020 $7,198,952,000 $10,800,000 $129,725,000 $519,319,000 $307,317,000 $397,034,000
2019 $6,748,504,000 $8,696,000 $210,812,000 $555,597,000 $220,744,000 $-16,104,000
2018 $6,219,586,000 $954,505,000 $167,680,000 $503,747,000 $-197,028,000 $-334,202,000
2017 $6,173,748,000 $900,896,000 $202,666,000 $434,656,000 $-112,923,000 $131,979,000