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Piedmont Office Realty Trust Inc

Piedmont Office Realty Trust Inc (PDM)

7.13
0.10
(1.42%)
At close: May 24 4:00PM
7.13
0.10
( 1.42% )
After Hours: 4:00PM

Income Statement

Balance Sheet

Cash Flow

Quarter End Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 3.7B4.19B4.09B4.24B4.09B4.07B4.06B3.99B
Total Current Assets 454.59M508.03M494.72M660.64M488.54M487.4M484.65M479.66M
Cash and Equivalents 6.4M10.65M16.54M170.59M5.17M5.04M825k3.54M
Total Non-Current Assets 3.24B3.68B3.59B3.58B3.61B3.59B3.57B3.51B
Total Liabilities 1.88B2.39B2.24B2.42B2.3B2.31B2.33B2.31B
Total Current Liabilities 172.15M382.06M195.64M1.13B1.01B210.57M236.59M201.78M
Total Non-Current Liabilities 3.38B3.95B4.02B2.52B2.52B4.15B4.15B4.18B
Common Equity 1.23M1.23M1.23M1.24M1.24M1.24M1.24M1.24M
Retained Earnings -1.88B-1.91B-1.86B-1.88B-1.91B-1.94B-1.99B-2.03B
Year End December 30 2023 20162017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 4.45B4B3.59B3.52B3.74B3.93B4.09B4.06B
Total Current Assets 222.99M252.33M224.11M198.32M582.98M576.6M494.72M484.65M
Cash and Equivalents 6.99M7.38M4.57M13.55M7.33M7.42M16.54M825k
Total Non-Current Assets 2.18B1.99B1.71B1.82B1.9B1.79B1.85B1.72B
Total Liabilities 2.27B2.01B1.88B1.7B1.84B2.14B2.24B2.33B
Total Current Liabilities 333.82M416.24M159.11M184.64M512.02M516.11M195.64M236.59M
Total Non-Current Liabilities 3.82B3.15B3.41B2.99B2.62B3.21B4.02B4.15B
Total Equity 2.18B1.99B1.71B1.82B1.9B1.79B1.85B1.72B
Common Equity 1.45M1.42M1.26M1.26M1.24M1.23M1.23M1.24M
Retained Earnings -1.5B-1.7B-1.98B-1.87B-1.77B-1.9B-1.86B-1.99B

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