Recent Annual Filings for IRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,057,919,000 $640,035,000 $514,545,000 $40,581,000 $259,753,000 $-246,428,000 $-7,280,000
2023 $6,280,175,000 $660,983,000 $514,070,000 $-27,675,000 $262,170,000 $-253,743,000 $6,715,000
2022 $6,532,095,000 $628,525,000 $526,551,000 $169,034,000 $249,537,000 $-135,425,000 $-21,654,000
2021 $6,506,696,000 $250,252,000 $198,669,000 $67,146,000 $52,257,000 $215,923,000 $52,056,000
2020 $1,734,897,000 $211,906,000 $168,095,000 $-6,947,000 $74,959,000 $48,763,000 $-818,000
2019 $1,664,106,000 $203,223,000 $152,854,000 $31,922,000 $75,001,000 $29,783,000 $-1,612,000
2018 $1,659,336,000 $191,232,000 $139,410,000 $23,856,000 $68,530,000 $162,353,000 $1,426,000
2017 $1,450,624,000 $161,216,000 $115,791,000 $32,393,000 $54,324,000 $125,594,000 $-10,907,000