Recent Annual Filings for NNN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,872,728,000 $869,266,000 $472,431,000 $398,987,000 $635,504,000 $-207,261,000 $3,907,000
2023 $8,661,968,000 $828,111,000 $435,771,000 $394,811,000 $612,410,000 $66,627,000 $-1,623,000
2022 $8,146,045,000 $773,053,000 $438,432,000 $337,000,000 $578,355,000 $34,732,000 $-164,544,000
2021 $7,751,054,000 $726,407,000 $436,297,000 $291,602,000 $568,425,000 $-232,162,000 $-95,914,000
2020 $7,637,844,000 $660,681,000 $431,885,000 $223,485,000 $450,194,000 $-41,254,000 $266,124,000
2019 $7,434,867,000 $670,487,000 $370,879,000 $293,748,000 $501,727,000 $4,526,000 $-113,155,000
2018 $7,103,438,000 $622,661,000 $330,176,000 $300,489,000 $471,909,000 $250,365,000 $112,903,000
2017 $6,560,534,000 $584,933,000 $356,217,000 $259,426,000 $421,557,000 $-89,176,000 $-293,176,000