Recent Annual Filings for NSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,931,811,000 $858,063,000 $521,368,000 $210,633,000 $441,576,000 $-557,187,000 $45,494,000
2022 $6,070,007,000 $801,569,000 $512,031,000 $268,498,000 $443,847,000 $154,642,000 $14,324,000
2021 $5,562,594,000 $585,671,000 $367,431,000 $191,071,000 $331,349,000 $1,672,875,000 $6,174,000
2020 $3,513,577,000 $432,222,000 $285,108,000 $20,454,000 $220,654,000 $286,454,000 $-2,575,000
2019 $3,084,245,000 $387,896,000 $261,047,000 $32,735,000 $196,651,000 $204,292,000 $7,913,000
2018 $2,729,263,000 $330,896,000 $273,752,000 $58,107,000 $161,796,000 $352,649,000 $-44,000
2017 $2,266,730,000 $268,130,000 $220,973,000 $50,241,000 $124,288,000 $286,073,000 $1,070,000
2016 $1,892,092,000 $199,046,000 $174,180,000 $33,978,000 $95,083,000 $553,694,000 $5,905,000