Recent Annual Filings for EQIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $35,085,000,000 $8,748,000,000 $7,420,000,000 $369,000,000 $3,249,000,000 $1,723,000,000 $986,000,000
2023 $32,650,724,000 $8,188,136,000 $6,744,862,000 $1,068,246,000 $3,216,595,000 $211,446,000 $188,061,000
2022 $30,310,742,000 $7,263,105,000 $6,062,577,000 $400,834,000 $2,963,182,000 $856,766,000 $358,794,000
2021 $27,918,698,000 $6,635,537,000 $5,527,375,000 $327,360,000 $2,547,206,000 $413,765,000 $-76,241,000
2020 $27,006,841,000 $5,998,545,000 $4,945,617,000 $391,376,000 $2,309,826,000 $815,526,000 $-260,918,000
2019 $23,965,615,000 $5,562,140,000 $4,392,509,000 $518,315,000 $1,992,728,000 $1,202,082,000 $1,259,009,000
2018 $20,244,638,000 $5,071,654,000 $4,094,271,000 $206,970,000 $1,815,426,000 $470,912,000 $-823,097,000
2017 $18,691,457,000 $4,368,428,000 $3,559,414,000 $396,935,000 $1,439,233,000 $4,607,860,000 $677,454,000