2021 annual financial data

COPT Defense Properties 2021 Operating cash flow

COPT Defense Properties 2021 operating cash flow with verified reported values.

Direct answer

Operating cash flow was 249,148,000 USD.

Operating income was 168,699,000 USD and net income was 76,541,000 USD.
Operating cash flow was 249,148,000 USD.

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Verified data

Revenue
664,446,000 USD
Operating income
168,699,000 USD
Net income
76,541,000 USD
Operating cash flow
249,148,000 USD