Recent Annual Filings for IRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,717,115,000 $6,149,909,000 $5,140,390,000 $-15,997,000 $1,196,708,000 $876,745,000 $-67,073,000
2023 $17,473,802,000 $5,480,289,000 $4,558,511,000 $257,886,000 $1,113,567,000 $425,666,000 $80,992,000
2022 $16,140,514,000 $5,103,574,000 $4,053,703,000 $458,012,000 $927,695,000 $639,207,000 $-114,031,000
2021 $14,450,031,000 $4,491,531,000 $3,637,359,000 $368,695,000 $758,902,000 $-220,806,000 $50,765,000
2020 $14,149,267,000 $4,147,270,000 $3,212,485,000 $348,928,000 $987,657,000 $-886,699,000 $11,508,000
2019 $13,816,816,000 $4,262,584,000 $3,481,246,000 $271,526,000 $966,655,000 $-198,973,000 $28,070,000
2018 $11,852,247,000 $4,225,761,000 $3,470,253,000 $199,469,000 $935,549,000 $550,678,000 $-760,214,000
2017 $10,972,402,000 $3,845,578,000 $3,196,469,000 $293,996,000 $720,968,000 $540,425,000 $689,215,000