Recent Annual Filings for EPRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,798,682,000 $449,610,000 $177,394,000 $216,538,000 $308,484,000 $810,699,000 $-3,985,000
2023 $4,768,261,000 $359,595,000 $141,009,000 $154,541,000 $254,574,000 $580,014,000 $-22,537,000
2022 $4,000,033,000 $286,506,000 $141,730,000 $191,504,000 $211,022,000 $506,798,000 $11,742,000
2021 $3,298,795,000 $230,234,000 $105,153,000 $118,719,000 $167,393,000 $689,059,000 $26,768,000
2020 $2,488,802,000 $164,009,000 $97,000,000 $7,083,000 $99,388,000 $457,792,000 $11,671,000
2019 $1,975,447,000 $139,357,000 $97,515,000 $45,120,000 $88,568,000 $524,351,000 $5,080,000
2018 $1,380,900,000 $96,223,000 $81,789,000 $15,613,000 $45,917,000 $412,755,000 $-3,191,000