Recent Annual Filings for UHAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $18,124,648,000 $5,864,691,000 $4,420,585,000 $609,568,000 $1,729,610,000 $59,795,000 $-631,980,000
2022 $17,299,581,000 $5,739,747,000 $4,094,750,000 $1,062,813,000 $1,946,235,000 $1,433,155,000 $1,512,214,000
2021 $14,651,606,000 $4,541,985,000 $3,580,838,000 $683,061,000 $1,535,395,000 $287,353,000 $699,660,000
2020 $13,438,024,000 $3,978,868,000 $3,438,740,000 $543,398,000 $1,075,513,000 $512,320,000 $-179,349,000
2019 $11,891,713,000 $3,768,707,000 $3,147,720,000 $308,782,000 $975,583,000 $514,582,000 $-85,687,000
2018 $10,746,985,000 $3,601,114,000 $2,836,795,000 $828,456,000 $936,328,000 $16,604,000 $61,582,000
2017 $9,405,840,000 $3,421,767,000 $2,679,504,000 $407,713,000 $1,020,061,000 $223,753,000 $97,160,000
2016 $8,150,725,000 $3,275,656,000 $2,408,842,000 $462,841,000 $1,041,063,000 $406,872,000 $158,796,000