Recent Annual Filings for INVH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $19,220,967,000 $2,432,278,000 $2,074,828,000 $486,660,000 $1,107,088,000 $110,021,000 $443,557,000
2022 $18,536,708,000 $2,238,121,000 $1,919,215,000 $771,225,000 $1,023,587,000 $-574,105,000 $-364,931,000
2021 $18,537,846,000 $1,996,615,000 $1,777,046,000 $524,912,000 $907,660,000 $658,988,000 $407,090,000
2020 $17,506,222,000 $2,585,000 $1,709,610,000 $-74,468,000 $696,712,000 $-146,033,000 $125,523,000
2019 $17,392,910,000 $2,823,000 $1,725,510,000 $-117,778,000 $662,130,000 $-838,102,000 $-73,746,000
2018 $18,063,428,000 $1,722,962,000 $1,784,615,000 $-66,851,000 $561,241,000 $-680,805,000 $-56,571,000
2017 $18,683,638,000 $1,054,456,000 $1,194,178,000 $-57,482,000 $259,789,000 $-331,312,000 $-18,241,000