Recent Annual Filings for EXR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $27,456,262,000 $2,560,244,000 $1,390,103,000 $817,701,000 $1,402,474,000 $423,130,000 $7,348,000
2022 $12,167,458,000 $1,924,170,000 $888,017,000 $1,017,405,000 $1,238,139,000 $431,861,000 $21,541,000
2021 $10,474,477,000 $1,577,362,000 $742,169,000 $937,083,000 $952,436,000 $-166,711,000 $-51,815,000
2020 $9,395,848,000 $1,356,212,000 $708,147,000 $443,896,000 $771,232,000 $241,471,000 $57,276,000
2019 $8,532,377,000 $1,308,454,000 $674,701,000 $384,280,000 $707,686,000 $-88,013,000 $-1,957,000
2018 $7,847,978,000 $1,196,604,000 $607,708,000 $448,510,000 $677,795,000 $-247,251,000 $-13,354,000
2017 $7,455,137,000 $1,105,009,000 $563,404,000 $531,530,000 $597,375,000 $-215,994,000 $11,825,000
2016 $7,091,446,000 $991,875,000 $542,037,000 $421,687,000 $539,263,000 $460,831,000 $-31,941,000