$265.76
$0.00 (0.00%)
End-of-day quote: 05/03/2024
NYSE:PSA

Public Storage Annual Report

Year Year 2023 2022 2021 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020
Rev. Revenue
$4.55B $4.24B $3.50B $976.18M $1.08B $1.36B $1.79B $1.74B $1.65B $1.65B $1.79B $1.89B $2.02B $2.23B $2.42B $2.61B $2.74B $2.86B $2.92B $2.98B
GM % Gross Margin %
74.42% 75.17% 73.69% 62.92% 65.13% 63.49% 64.71% 70.40% 68.36% 68.02% 68.77% 70.56% 72.32% 72.49% 73.73% 74.41% 74.20% 73.56% 72.20% 70.93%
OM Operating Margin
51.31% 51.68% 50.41% 42.26% 45.10% 28.30% 27.14% 41.06% 45.57% 44.31% 45.90% 48.60% 49.87% 49.67% 52.61% 54.63% 54.62% 53.01% 52.53% 49.77%
EPS Earnings Per Share
$16.81 $15.72 $12.85 $10.43 $10.75 $10.53 $10.21 $9.76 $8.86 $8.09 $7.41 $6.39 $5.77 $4.85 $5.59 $4.85 $4.78 $3.64 $3.54 $2.89
Div. Dividends
$12.00 $21.15 $8.00 $1.80 $1.90 $2.00 $2.05 $2.80 $2.20 $3.05 $3.65 $4.40 $5.15 $5.60 $6.50 $7.30 $8.00 $8.00 $8.00 $8.00
PR % Payout Ratio %
71.39% 134.54% 62.26% 62.28% 53.67% 54.95% 42.89% 57.73% 39.36% 62.89% 63.26% 68.86% 69.50% 69.22% 73.36% 74.80% 78.35% 75.97% 74.42% 76.70%
Sha. Shares
175.67m 175.27m 175.13m 137.3m 136.83m 177.89m 178.17m 176.66m 176.78m 169.25m 170.24m 171.39m 171.78m 172.45m 172.92m 173.29m 173.85m 174.13m 174.42m 174.58m
OCF Operating Cash Flow
$3.25B $3.12B $2.54B $616.66M $673.87M $753.14M $1.05B $1.08B $1.11B $1.09B $1.20B $1.29B $1.43B $1.60B $1.75B $1.95B $1.97B $2.06B $2.07B $2.04B
FCF Free Cash Flow
$354.62M $2.34B $0.00M $0.00M $0.00M $0.00M $0.00M $0.00M $0.00M $1.02B $1.13B $1.22B $1.36B $966.37M $1.26B $1.18B $1.23B $1.40B $1.16B $0.00M
FCFS Free Cash Flow Per Share
$17.15 $17.64 $12.48 $3.36 $3.66 $3.56 $4.79 $4.98 $5.23 $5.10 $5.77 $6.28 $6.78 $7.96 $8.65 $9.73 $9.90 $10.62 $10.66 $10.52