Recent Annual Filings for DOC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,155,621,000 $543,463,000 $500,793,000 $39,301,000 $273,430,000 $-10,360,000 $149,049,000
2022 $5,096,877,000 $526,635,000 $473,184,000 $116,111,000 $258,400,000 $-222,074,000 $-2,146,000
2021 $5,182,709,000 $457,699,000 $393,511,000 $91,750,000 $247,555,000 $363,026,000 $7,361,000
2020 $4,413,950,000 $437,505,000 $373,602,000 $58,308,000 $233,297,000 $-31,224,000 $160,000
2019 $4,346,581,000 $415,281,000 $369,376,000 $67,074,000 $201,177,000 $37,325,000 $-16,806,000
2018 $4,142,834,000 $422,551,000 $376,008,000 $58,802,000 $208,694,000 $-115,077,000 $16,434,000
2017 $4,164,383,000 $343,584,000 $309,868,000 $40,017,000 $180,471,000 $1,109,403,000 $-12,764,000
2016 $2,888,092,000 $241,034,000 $209,627,000 $45,230,000 $124,779,000 $1,148,745,000 $12,348,000