Public Storage

PSA ·Real Estate, REIT - Diversified, United States
Financial Statements › Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item Jun 2026 Mar 2026 Dec 2025 Sep 2025 Jun 2025 Mar 2025 Dec 2024 Sep 2024
Operating Activities
Net Income $500.0M $526.3M $507.1M $511.1M $358.4M $407.8M $614.6M $430.3M
Depreciation & Amortization $287.8M $290.7M $295.5M $290.4M $283.2M $282.7M $280.9M $280.3M
Depreciation $271.8M $269.2M $268.9M $263.0M $257.8M $256.2M $253.8M $251.2M
Amortization $15.5M $19.2M $23.7M $26.5M $20.5M $23.3M $24.2M $26.6M
Stock-Based Compensation $12.8M $11.9M $9.5M $9.5M $10.6M $10.3M $12.6M $10.9M
Net Cash from Operating Activities $868.4M $694.8M $733.6M $875.1M $872.7M $705.1M $768.6M $798.8M
Investing Activities
Capital Expenditures — — — — — — — —
Business Acquisitions — — — — — — — —
Net Cash from Investing Activities $-347.0M $-147.3M $-364.3M $-696.0M $-338.3M $-286.5M $-411.6M $-213.3M
Financing Activities
Dividends Paid — — — — — — — —
Stock Repurchases — — — — — — — —
Net Cash from Financing Activities $-396.2M $-731.0M $-347.6M $-987.3M $283.0M $-578.8M $-508.6M $-559.9M
Net Change in Cash $125.3M $-183.5M $21.6M $-808.1M $817.4M $-160.2M $-151.6M $25.5M
Free Cash Flow — — — — — — — —
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