Recent Annual Filings for REXR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,648,218,000 $936,407,000 $567,660,000 $285,494,000 $478,917,000 $1,379,584,000 $22,527,000
2023 $10,929,829,000 $797,826,000 $504,016,000 $248,444,000 $427,548,000 $1,245,556,000 $-3,342,000
2022 $9,259,283,000 $631,204,000 $411,561,000 $196,003,000 $327,695,000 $2,114,303,000 $-7,212,000
2021 $6,781,165,000 $452,238,000 $307,980,000 $144,579,000 $231,463,000 $1,547,779,000 $-133,525,000
2020 $4,951,174,000 $330,135,000 $231,780,000 $70,015,000 $182,994,000 $903,195,000 $98,666,000
2019 $3,638,622,000 $267,213,000 $203,212,000 $49,860,000 $139,514,000 $731,484,000 $-101,744,000
2018 $2,787,685,000 $212,494,000 $165,419,000 $46,520,000 $102,775,000 $578,169,000 $173,731,000
2017 $2,111,373,000 $161,355,000 $119,655,000 $45,125,000 $76,650,000 $521,595,000 $-8,655,000