Recent Annual Filings for ELS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,645,652,000 $1,526,166,000 $1,145,484,000 $381,060,000 $596,721,000 $-384,244,000 $-5,361,000
2023 $5,613,733,000 $1,489,423,000 $1,169,366,000 $316,619,000 $548,005,000 $-215,662,000 $7,590,000
2022 $5,492,519,000 $1,447,080,000 $1,151,618,000 $314,420,000 $599,336,000 $-174,798,000 $-101,051,000
2021 $5,307,871,000 $1,271,694,000 $999,516,000 $279,524,000 $595,052,000 $418,741,000 $99,338,000
2020 $4,418,969,000 $1,091,448,000 $855,431,000 $241,796,000 $466,537,000 $-20,958,000 $-4,800,000
2019 $4,151,275,000 $1,037,256,000 $802,596,000 $293,243,000 $443,520,000 $-131,545,000 $-40,114,000
2018 $3,925,808,000 $986,653,000 $765,206,000 $227,743,000 $411,084,000 $17,324,000 $30,343,000
2017 $3,610,032,000 $925,312,000 $718,700,000 $211,546,000 $384,490,000 $-98,796,000 $-25,255,000