Recent Annual Filings for CUZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,634,474,000 $802,874,000 $721,861,000 $83,388,000 $368,362,000 $-71,725,000 $902,000
2022 $7,537,016,000 $762,290,000 $658,972,000 $168,560,000 $365,166,000 $-35,690,000 $-5,023,000
2021 $7,312,034,000 $755,073,000 $648,508,000 $278,996,000 $389,478,000 $-194,382,000 $4,030,000
2020 $7,107,398,000 $740,340,000 $646,065,000 $238,114,000 $351,088,000 $-230,095,000 $-11,470,000
2019 $7,151,447,000 $657,515,000 $628,259,000 $152,683,000 $303,177,000 $69,160,000 $14,913,000
2018 $4,146,296,000 $475,212,000 $412,116,000 $80,765,000 $229,034,000 $-147,600,000 $-203,050,000
2017 $4,204,619,000 $466,185,000 $428,658,000 $219,959,000 $211,649,000 $-169,335,000 $154,424,000
2016 $4,171,607,000 $259,211,000 $280,766,000 $80,104,000 $111,282,000 $-538,537,000 $33,684,000