Recent Annual Filings for DEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,223,071,000 $302,052,000 $225,263,000 $19,301,000 $162,635,000 $252,875,000 $5,865,000
2023 $2,879,752,000 $287,227,000 $222,496,000 $19,035,000 $114,479,000 $17,194,000 $4,665,000
2022 $2,829,385,000 $293,606,000 $222,090,000 $45,281,000 $125,941,000 $-59,707,000 $-2,869,000
2021 $2,826,112,000 $274,860,000 $203,849,000 $41,037,000 $118,344,000 $250,172,000 $5,474,000
2020 $2,457,540,000 $245,078,000 $192,075,000 $6,043,000 $145,197,000 $144,098,000 $-880,000
2019 $2,234,589,000 $221,722,000 $186,283,000 $163,000 $142,315,000 $304,470,000 $4,444,000
2018 $1,861,550,000 $160,591,000 $131,029,000 $5,394,000 $62,782,000 $398,865,000 $-5,096,000
2017 $1,425,338,000 $130,673,000 $107,903,000 $5,635,000 $49,231,000 $356,353,000 $7,837,000