Recent Annual Filings for PSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,754,934,000 $4,695,616,000 $2,797,351,000 $2,079,671,000 $3,128,255,000 $-2,078,576,000 $47,041,000
2023 $19,809,216,000 $4,517,690,000 $2,426,217,000 $2,173,198,000 $3,246,648,000 $-112,928,000 $-404,782,000
2022 $17,552,307,000 $4,182,163,000 $2,192,114,000 $4,339,544,000 $3,117,141,000 $-4,193,270,000 $43,867,000
2021 $17,380,908,000 $3,415,824,000 $1,826,054,000 $1,949,453,000 $2,543,555,000 $3,498,141,000 $478,690,000
2020 $11,816,546,000 $2,915,068,000 $1,560,201,000 $1,382,716,000 $2,042,902,000 $-1,075,716,000 $-150,954,000
2019 $11,365,444,000 $2,846,823,000 $1,427,325,000 $1,524,821,000 $2,067,643,000 $-1,120,735,000 $49,535,000
2018 $10,928,270,000 $2,754,280,000 $1,374,630,000 $1,728,227,000 $2,061,503,000 $-1,619,588,000 $-72,034,000
2017 $10,732,892,000 $2,668,528,000 $1,245,386,000 $1,468,507,000 $1,975,679,000 $-992,219,000 $243,480,000