Recent Annual Filings for STAG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,833,335,000 $767,384,000 $504,406,000 $179,347,000 $460,292,000 $286,291,000 $15,525,000
2023 $6,283,458,000 $707,835,000 $470,227,000 $175,427,000 $391,092,000 $-75,667,000 $-4,921,000
2022 $6,184,988,000 $657,345,000 $453,845,000 $266,320,000 $387,931,000 $63,186,000 $3,593,000
2021 $5,833,249,000 $562,159,000 $398,192,000 $225,288,000 $336,154,000 $887,123,000 $2,857,000
2020 $4,692,646,000 $483,411,000 $351,775,000 $184,686,000 $293,922,000 $269,176,000 $8,475,000
2019 $4,164,645,000 $405,950,000 $308,117,000 $27,040,000 $233,357,000 $978,539,000 $-10,678,000
2018 $3,102,532,000 $350,993,000 $278,149,000 $96,555,000 $197,769,000 $303,845,000 $-5,587,000
2017 $2,680,667,000 $301,087,000 $250,657,000 $37,870,000 $162,562,000 $415,861,000 $12,370,000