financial statements
The full income statement, balance sheet, and cash-flow statement for Camden Property Trust (CPT), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.
| Line item | Trend | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 |
|---|---|---|---|---|---|---|
| Income Statement | as ofDec 31 ’25 | as ofDec 31 ’24 | as ofDec 31 ’23 | as ofDec 31 ’22 | as ofDec 31 ’21 | |
| Revenue | 13.0M YoY+81.7% | 7.14M YoY+106.8% | 3.45M YoY-33.5% | 5.19M YoY-50.7% | 10.5M YoY-2.5% | |
| Cost of revenue | 567M YoY+1.4% | 559M YoY+1.8% | 549M YoY+10.2% | 498M YoY+19.4% | 417M YoY+5.6% | |
| Selling, general & administrative | 79.3M YoY+9.6% | 72.4M YoY+15.8% | 62.5M YoY+3.5% | 60.4M YoY+1.8% | 59.4M YoY+10.7% | |
| General & administrative | 79.3M YoY+9.6% | 72.4M YoY+15.8% | 62.5M YoY+3.5% | 60.4M YoY+1.8% | 59.4M YoY+10.7% | |
| Amortization of intangibles | 15.5M | — | 50.3M YoY+0.0% | 50.3M YoY+126.6% | 22.2M YoY+144.0% | |
| Interest expense | 138M YoY+6.5% | 130M YoY-2.7% | 133M YoY+17.6% | 113M YoY+16.6% | 97.3M YoY+6.3% | |
| Equity-method income | — | 0.00 | 0.00 YoY-100.0% | 3.05M YoY-68.8% | 9.78M YoY+21.4% | |
| Income tax | 4.00M YoY+37.9% | 2.90M YoY-21.6% | 3.70M | — | — | |
384M YoY+135.4% | 163M YoY-59.5% | 403M YoY-38.3% | 654M YoY+115.1% | 304M YoY+145.3% | ||
$3.54 YoY+136.0% | $1.50 YoY-59.5% | $3.70 YoY-38.7% | $6.04 YoY+104.1% | $2.96 YoY+138.7% | ||
| Balance Sheet | as ofDec 31 ’25 | as ofDec 31 ’24 | as ofDec 31 ’23 | as ofDec 31 ’22 | as ofDec 31 ’21 | |
| Cash & equivalents | 25.2M YoY+19.8% | 21.0M YoY-91.9% | 260M YoY+2329.9% | 10.7M YoY-98.3% | 613M YoY+45.9% | |
| Short-term investments | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |
9.04B YoY+2.2% | 8.85B YoY-5.7% | 9.38B YoY+0.6% | 9.33B YoY+16.9% | 7.98B YoY+10.8% | ||
4.60B YoY+12.2% | 4.10B YoY-5.2% | 4.33B YoY+1.4% | 4.27B YoY+15.1% | 3.71B YoY+0.8% | ||
4.36B YoY-6.7% | 4.68B YoY-6.1% | 4.98B YoY-0.1% | 4.99B YoY+18.8% | 4.20B YoY+21.8% | ||
| Cash Flow | as ofDec 31 ’25 | as ofDec 31 ’24 | as ofDec 31 ’23 | as ofDec 31 ’22 | as ofDec 31 ’21 | |
827M YoY+6.7% | 775M YoY-2.5% | 795M YoY+6.7% | 745M YoY+29.0% | 577M YoY+11.2% | ||
-500M YoY-75.1% | -285M YoY-124.4% | -127M YoY+91.3% | -1.46B YoY-81.0% | -804M YoY-87.2% | ||
-322M YoY+55.6% | -725M YoY-73.9% | -417M YoY-479.5% | 110M YoY-73.9% | 421M YoY+37.1% | ||
| Net change in cash | 5.03M YoY+102.1% | -236M YoY-194.1% | 251M YoY+141.7% | -602M YoY-409.4% | 194M YoY-51.0% | |
| Interest paid | 140M YoY+7.7% | 130M YoY+0.6% | 129M YoY+16.0% | 111M YoY+14.1% | 97.3M YoY+7.8% | |
| Income taxes paid | 3.48M YoY+23.7% | 2.82M YoY-21.6% | 3.59M YoY+11.7% | 3.22M YoY+47.5% | 2.18M YoY-4.8% | |
| Valuation Ratios | as ofDec 31 ’25 | as ofDec 31 ’24 | as ofDec 31 ’23 | as ofDec 31 ’22 | as ofDec 31 ’21 | |
| Market cap | 11.7B YoY-5.4% | 12.4B YoY+16.8% | 10.6B YoY-11.1% | 11.9B YoY-34.7% | 18.3B YoY+87.6% | |
| P/E | 30.5× YoY-59.8% | 75.8× YoY+62.1% | 46.8× YoY+222.1% | 14.5× YoY-75.8% | 60.1× YoY-23.5% | |
| P/S | 903.2× YoY-47.9% | 1734.5× YoY-45.9% | 3208.6× YoY+90.4% | 1685.3× YoY-2.8% | 1733.8× YoY+92.4% | |
| P/B | 2.7× YoY+1.4% | 2.6× YoY+21.5% | 2.2× YoY-7.9% | 2.4× YoY-45.6% | 4.4× YoY+54.0% | |
| P/FCF | 14.2× YoY-11.3% | 16.0× YoY+16.2% | 13.7× YoY-17.2% | 16.6× YoY-47.5% | 31.6× YoY+68.7% | |
| Earnings yield | 3.3% YoY+148.9% | 1.3% YoY-38.3% | 2.1% YoY-69.0% | 6.9% YoY+313.8% | 1.7% YoY+30.7% | |
| FCF yield | 7.1% YoY+12.8% | 6.3% YoY-13.9% | 7.3% YoY+20.8% | 6.0% YoY+90.5% | 3.2% YoY-40.7% | |
| Dividend yield | 3.8% YoY+7.5% | 3.6% YoY-11.9% | 4.0% YoY+19.9% | 3.4% YoY+80.9% | 1.9% YoY-44.1% | |
| Source filing | 10-K | 10-K | 10-K | 10-K | 10-K |
About this data
Source: CPT's SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn't file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all CPT filings on SEC EDGAR → Not investment advice.
