Recent Annual Filings for UMH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,563,728,000 $240,552,000 $219,111,000 $21,441,000 $81,601,000 $102,638,000 $44,374,000
2023 $1,427,577,000 $220,925,000 $213,074,000 $7,851,000 $120,077,000 $69,057,000 $23,561,000
2022 $1,344,596,000 $195,776,000 $200,748,000 $-4,972,000 $-7,983,000 $47,954,000 $-84,150,000
2021 $1,270,820,000 $186,099,000 $135,011,000 $51,088,000 $65,163,000 $125,634,000 $96,433,000
2020 $1,087,214,000 $163,609,000 $158,554,000 $5,055,000 $69,037,000 $44,330,000 $9,597,000
2019 $1,025,453,000 $146,591,000 $126,582,000 $27,750,000 $38,516,000 $90,053,000 $6,219,000
2018 $878,985,924 $129,586,693 $111,009,550 $-36,215,571 $40,175,186 $82,314,136 $-15,113,838
2017 $823,881,326 $112,647,919 $96,616,337 $7,474,428 $41,341,162 $130,604,097 $19,025,498