Recent Annual Filings for PLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $95,328,909,000 $8,201,610,000 $4,086,732,000 $4,348,088,000 $4,912,209,000 $-999,957,000 $813,195,000
2023 $93,020,840,000 $8,023,469,000 $4,559,286,000 $3,181,205,000 $5,373,058,000 $1,320,282,000 $273,943,000
2022 $87,897,448,000 $5,973,692,000 $2,282,882,000 $4,000,442,000 $4,126,430,000 $115,789,000 $-256,838,000
2021 $58,486,220,000 $4,759,440,000 $1,436,592,000 $3,472,061,000 $2,996,042,000 $-1,008,325,000 $-41,969,000
2020 $56,065,005,000 $4,438,735,000 $2,691,647,000 $1,407,840,000 $2,937,005,000 $-372,162,000 $-490,769,000
2019 $40,031,850,000 $3,330,621,000 $1,554,258,000 $1,798,993,000 $2,264,034,000 $-839,599,000 $744,999,000
2018 $38,417,664,000 $2,804,449,000 $918,159,000 $1,631,047,000 $1,803,559,000 $-1,232,101,000 $-103,190,000
2017 $29,481,075,000 $2,618,134,000 $802,566,000 $1,847,005,000 $1,687,246,000 $-2,606,584,000 $-360,270,000