Recent Annual Filings for UDR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,897,586,000 $1,671,842,000 $1,404,140,000 $94,532,000 $876,848,000 $-599,936,000 $561,000
2023 $11,373,242,000 $1,627,501,000 $1,343,686,000 $470,827,000 $832,664,000 $-538,854,000 $4,672,000
2022 $11,038,470,000 $1,517,386,000 $1,292,066,000 $106,070,000 $820,071,000 $111,233,000 $1,776,000
2021 $10,775,220,000 $1,290,767,000 $1,158,851,000 $166,250,000 $663,960,000 $612,540,000 $4,247,000
2020 $9,637,533,000 $1,241,165,000 $1,111,339,000 $70,415,000 $604,316,000 $-152,594,000 $-9,120,000
2019 $9,636,472,000 $1,152,193,000 $936,418,000 $188,372,000 $630,704,000 $880,383,000 $-175,600,000
2018 $7,711,728,000 $1,046,859,000 $828,338,000 $224,400,000 $560,676,000 $-260,067,000 $187,061,000
2017 $7,733,273,000 $984,309,000 $811,297,000 $135,864,000 $519,152,000 $-111,785,000 $-74,000