Recent Annual Filings for ESS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,927,359,000 $1,774,450,000 $1,246,938,000 $802,089,000 $1,068,305,000 $-419,742,000 $-324,488,000
2023 $12,361,427,000 $1,669,395,000 $1,144,291,000 $417,344,000 $980,064,000 $-477,271,000 $357,653,000
2022 $12,372,905,000 $1,606,814,000 $1,106,001,000 $486,799,000 $975,649,000 $-1,137,564,000 $-15,957,000
2021 $12,997,873,000 $1,440,556,000 $1,053,554,000 $525,190,000 $905,259,000 $-533,265,000 $-25,403,000
2020 $12,936,177,000 $1,495,748,000 $1,069,274,000 $598,461,000 $803,108,000 $-383,261,000 $2,947,000
2019 $12,705,405,000 $1,460,155,000 $975,879,000 $463,573,000 $919,079,000 $-461,689,000 $-70,301,000
2018 $12,383,596,000 $1,400,053,000 $949,925,000 $421,318,000 $826,554,000 $-676,392,000 $90,269,000
2017 $12,495,706,000 $1,363,899,000 $917,377,000 $472,162,000 $766,151,000 $-309,213,000 $-20,301,000