Camden Property Trust (CPT) 10-K Summary — Year Ended Dec 31, 2024
The annual report for Camden Property Trust covers the most recent period. It reports financial results and details the company's approach to maintaining financial strength.
Key takeaway
Year ended Dec 31, 2024 · FY2025 10-K
The annual report for Camden Property Trust covers the most recent period. It reports financial results and details the company's approach to maintaining financial strength.
Financial snapshot
Selected annual figures reported with the filing, shown separately from the narrative summary.
Annual revenue
$7.1M
Revenue reported for the fiscal year.
Operating income
n/a
Income from operations reported for the year.
Net income
$163.3M
Net income reported for the year.
Operating cash flow
$774.9M
Cash generated by operating activities.
Annual revenue trend
Reported annual revenue and its change from the preceding fiscal year.
| Period ended | Revenue | Year-over-year change |
|---|---|---|
| Dec 31, 2021 | $10.5M | n/a |
| Dec 31, 2022 | $5.2M | -50.7% |
| Dec 31, 2023 | $3.5M | -33.5% |
| Dec 31, 2024 | $7.1M | +106.8% |
Business overview
The filing does not include a detailed business description. Only item headings are listed under Business Overview.
Financial performance
Reported revenue increased from the prior period. Net income and operating cash flow were reported as positive figures.
Material risks
No specific risk factors are detailed in the supplied filing context. The risk factors section merely references an item number.
Liquidity and capital
The company intends to maintain a strong balance sheet and financial flexibility by extending debt maturities, managing interest rate exposure, and using a prudent mix of debt and equity. Most properties are unencumbered, and debt has a long average maturity.
What to watch
Investors should monitor the company's interest expense coverage ratio and any changes in its debt maturity profile in the next filing.