Recent Annual Filings for IIPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,378,047,000 $308,517,000 $146,856,000 $161,661,000 $258,446,000 $-197,904,000 $4,546,000
2023 $2,391,090,000 $309,506,000 $143,918,000 $165,588,000 $255,543,000 $-195,628,000 $53,127,000
2022 $2,414,836,000 $276,359,000 $121,973,000 $154,386,000 $234,130,000 $164,224,000 $2,153,000
2021 $2,084,602,000 $204,551,000 $90,561,000 $113,990,000 $188,747,000 $155,759,000 $-39,587,000
2020 $1,768,081,000 $116,896,000 $47,159,000 $65,730,000 $110,814,000 $924,991,000 $8,690,000
2019 $745,857,000 $44,667,000 $19,732,000 $23,475,000 $44,934,000 $399,962,000 $104,266,000
2018 $281,466,000 $14,787,000 $9,449,000 $6,985,000 $15,693,000 $184,854,000 $1,292,000
2017 $80,028,000 $6,420,000 $6,643,000 $-72,000 $5,015,000 $12,385,000 $-21,245,000