Recent Annual Filings for EQR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,834,176,000 $2,108,409,000 $1,069,485,000 $1,573,607,000 $-376,952,000 $20,171,000
2023 $20,034,564,000 $2,087,274,000 $1,995,918,000 $876,739,000 $1,532,798,000 $-1,120,471,000 $2,823,000
2022 $20,218,262,000 $3,039,505,000 $1,923,459,000 $838,720,000 $1,454,756,000 $-1,785,612,000 $-223,064,000
2021 $21,169,241,000 $3,519,411,000 $1,843,570,000 $1,406,108,000 $1,260,184,000 $-565,056,000 $260,508,000
2020 $20,286,891,000 $2,571,705,000 $1,785,522,000 $996,398,000 $1,265,536,000 $-1,946,393,000 $-17,271,000
2019 $21,172,769,000 $2,701,075,000 $1,792,168,000 $997,131,000 $1,456,984,000 $-684,474,000 $686,000
2018 $20,394,209,000 $2,578,434,000 $1,719,874,000 $708,818,000 $1,356,295,000 $-963,910,000 $15,551,000
2017 $20,570,599,000 $2,471,406,000 $1,623,935,000 $653,678,000 $1,265,788,000 $-789,818,000 $-118,326,000