Recent Annual Filings for CUBE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,225,020,000 $1,050,334,000 $553,059,000 $412,516,000 $611,136,000 $-518,026,000 $-708,000
2022 $6,325,830,000 $1,009,624,000 $658,493,000 $292,553,000 $591,466,000 $-547,092,000 $-4,393,000
2021 $6,548,079,000 $822,564,000 $531,962,000 $230,894,000 $449,185,000 $1,410,572,000 $7,089,000
2020 $4,778,142,000 $679,177,000 $421,630,000 $167,692,000 $351,033,000 $108,196,000 $-52,212,000
2019 $4,029,545,000 $643,915,000 $411,846,000 $171,073,000 $331,768,000 $95,855,000 $51,959,000
2018 $3,752,972,000 $597,944,000 $377,928,000 $164,449,000 $304,335,000 $15,248,000 $-2,676,000
2017 $3,545,336,000 $558,943,000 $363,228,000 $137,486,000 $293,438,000 $-143,319,000 $2,295,000
2016 $3,475,028,000 $510,039,000 $367,087,000 $91,541,000 $263,526,000 $221,049,000 $-59,896,000