| Cash Flow | 2025-09-30 | 2025-06-30 | 2025-03-31 | 2024-09-30 |
|---|---|---|---|---|
| Net income | 1,286,975 | 772,202 | 410,791 | 1,466,049 |
| Gain on sale of real estate | 710 | 208 | 45 | 1,428 |
| Depreciation and amortization | 856,295 | 565,931 | 282,715 | 848,875 |
| Equity in earnings of unconsolidated real estate entities | 5,071 | 1,397 | 3,627 | 15,458 |
| Distributions from cumulative equity in earnings of unconsolidated real estate entities | 1,823 | 736 | 432 | 10,664 |
| Unrealized foreign currency exchange loss | -214,575 | -215,716 | -68,664 | -20,725 |
| Share-based compensation expense | 30,361 | 20,903 | 10,283 | 32,101 |
| Impairment of real estate investments | 3,946 | 3,827 | 3,827 | - |
| Amortization of debt issuance costs | 7,588 | - | - | - |
| Other non-cash adjustments | 2,017 | 6,295 | 2,707 | 7,992 |
| Other assets | 12,352 | 22,766 | -8,702 | 45,241 |
| Accrued and other liabilities | 67,415 | 16,532 | -79,386 | 35,356 |
| Net cash flows from operating activities | 2,452,862 | 1,577,771 | 705,063 | 2,359,635 |
| Capital expenditures to maintain real estate facilities | 139,305 | 84,302 | 44,960 | 174,896 |
| Capital expenditures for property enhancements | 0 | 0 | 0 | 106,172 |
| Capital expenditures for energy efficiencies (led lighting, solar) | 49,986 | 29,045 | 13,049 | 35,784 |
| Development and expansion of real estate facilities | 237,998 | 143,146 | 66,481 | 247,161 |
| Acquisition of real estate facilities and intangible assets | 814,555 | 303,277 | 140,990 | 46,280 |
| Acquisition of breit simply storage llc, net of cash acquired | - | - | - | 0 |
| Issuance of notes receivable | 82,839 | 67,876 | 23,636 | - |
| Distributions in excess of cumulative equity in earnings from unconsolidated real estate entities | 0 | 0 | - | 13,285 |
| Proceeds from sale of real estate investments | 3,903 | 2,849 | 2,599 | 6,014 |
| Net cash flows used in investing activities | -1,320,780 | -624,797 | -286,517 | -590,994 |
| Issuance costs on amendment of credit facility | - | - | - | 0 |
| Repayments of notes payable | 400,099 | 65 | 33 | 808,473 |
| Issuance of notes payable, net of issuance costs | 866,532 | 866,532 | - | 1,151,022 |
| Issuance of common shares in connection with share-based compensation | 9,477 | 7,779 | 3,184 | 30,917 |
| Taxes paid upon net share settlement of restricted share units | 3,473 | 3,040 | 2,668 | 6,295 |
| Repurchase of common shares | 0 | 0 | - | 200,000 |
| Acquisition of noncontrolling interests | 9,061 | 9,061 | 103 | 1,186 |
| Contributions by noncontrolling interests | 3,725 | 2,684 | 1,153 | 1,985 |
| Distributions paid to preferred shareholders, common shareholders, restricted share unitholders and unvested ltip unitholders | 1,727,546 | 1,151,691 | 575,844 | 1,726,246 |
| Distributions paid to noncontrolling interests | 22,593 | 8,925 | 4,474 | 11,736 |
| Net cash flows used in financing activities | -1,283,038 | -295,787 | -578,785 | -1,570,012 |
| Net (decrease) increase in cash and equivalents, including restricted cash | -150,956 | 657,187 | -160,239 | 198,629 |
| Cash and cash equivalents at beginning of period | 447,416 | 447,416 | 447,416 | 400,375 |
| Cash and cash equivalents at end of period | 296,460 | 1,104,603 | 287,177 | 599,004 |
Public Storage (PSA-PS)
Public Storage (PSA-PS)