Recent Annual Filings for EGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,519,213,000 $570,591,000 $342,447,000 $189,008,000 $338,202,000 $272,063,000 $40,207,000
2022 $4,035,837,000 $487,025,000 $304,461,000 $221,251,000 $316,501,000 $200,310,000 $-4,337,000
2021 $3,215,336,000 $409,475,000 $258,581,000 $169,611,000 $256,492,000 $277,143,000 $4,372,000
2020 $2,720,803,000 $363,023,000 $234,792,000 $94,804,000 $196,285,000 $91,768,000 $-203,000
2019 $2,546,078,000 $331,387,000 $214,815,000 $117,768,000 $195,912,000 $247,275,000 $-150,000
2018 $2,131,705,000 $300,392,000 $191,836,000 $89,859,000 $164,731,000 $77,062,000 $358,000
2017 $1,953,221,000 $274,150,000 $178,954,000 $86,536,000 $155,014,000 $23,906,000 $-506,000
2016 $1,825,764,000 $253,047,000 $165,675,000 $100,960,000 $138,864,000 $48,082,000 $474,000