Recent Annual Filings for DLR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $45,283,616,000 $5,554,968,000 $5,083,104,000 $105,340,000 $2,261,477,000 $2,063,433,000 $2,240,230,000
2023 $44,113,258,000 $5,477,061,000 $4,952,600,000 $686,144,000 $1,634,780,000 $963,474,000 $1,485,774,000
2022 $41,484,998,000 $4,691,834,000 $4,101,866,000 $-98,395,000 $1,659,388,000 $2,969,149,000 $-789,000
2021 $36,369,560,000 $4,427,882,000 $3,733,873,000 $1,431,167,000 $1,702,228,000 $-590,630,000 $27,833,000
2020 $36,076,291,000 $3,903,609,000 $3,346,083,000 $588,939,000 $1,706,541,000 $935,689,000 $26,399,000
2019 $23,068,131,000 $3,209,241,000 $2,615,026,000 $628,205,000 $1,513,817,000 $-1,272,021,000 $-37,969,000
2018 $23,766,695,000 $3,046,478,000 $2,496,691,000 $333,607,000 $1,385,324,000 $1,757,269,000 $122,041,000
2017 $21,404,345,000 $2,457,928,000 $2,006,633,000 $284,001,000 $1,023,305,000 $321,200,000 $-8,855,000