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    2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31
Common Stock Value 7.607.607.597.597.607.657.657.657.657.657.657.657.647.647.637.637.627.627.627.617.617.617.607.597.597.587.587.577.567.55
Weighted Average Number Of Diluted Shares Outstanding 194.41190.43NA192.92194.80191.88NA192.02192.04192.04NA192.04192.38192.03NA191.16191.10191.11NA191.02191.06191.00NA191.33191.17190.08NA190.85190.44190.37
Weighted Average Number Of Shares Outstanding Basic 190.49190.43NA190.36191.47191.87NA191.79191.75191.72NA191.58191.53191.42NA191.16191.10191.04NA190.81190.78190.69NA190.25190.20190.08NA189.59189.40189.21
Earnings Per Share Basic 0.19-0.05-0.320.280.240.03-2.570.040.260.140.060.200.250.02-1.100.28-1.030.031.011.6912.580.950.531.000.59-0.090.14-0.150.610.25
Earnings Per Share Diluted 0.18-0.05-0.310.280.240.03-2.570.040.260.140.060.200.250.02-1.100.28-1.030.031.011.6912.560.950.531.000.58-0.090.14-0.150.610.25

    2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31
Revenue From Contract With Customer Excluding Assessed Tax 450.27436.38441.89451.00472.36445.92446.94457.43453.49442.13421.08409.21378.94379.98376.43363.96343.03444.53460.97465.96463.10534.67543.42542.05541.82536.44536.23528.75511.09508.06
Revenues 450.27436.38441.89451.00472.36445.92446.94457.43453.49442.13421.08409.21378.94379.98376.43363.96343.03444.53460.97465.96463.10534.67543.42542.05541.82536.44536.23528.75511.09508.06
Interest And Fee Income Loans And Leases NANA0.300.290.280.481.791.400.990.820.840.560.560.560.570.570.811.431.481.601.641.611.352.006.210.740.750.752.100.74
Operating Expenses 382.39377.95429.97382.37371.51381.32406.07385.69368.24374.25368.88349.60314.78334.61606.91339.99239.38364.46363.80358.58475.56427.21408.75385.09385.35402.67376.72366.52442.64464.38
Operating Costs And Expenses 229.38226.22219.93233.74222.72228.77213.48221.60222.31216.53202.72212.70190.92190.98188.99195.65174.43230.01223.97226.36220.75246.90254.32235.57235.98237.60225.01225.23256.69260.91
General And Administrative Expense 38.4837.9046.0435.8439.4141.5931.4429.1731.9041.2234.2025.5530.6044.1961.2532.4135.0152.8339.7933.2438.8758.0232.9331.9834.4343.6336.8436.2642.4756.66
Interest And Debt Expense 98.4090.4887.6988.1387.1786.2488.2476.7762.6452.1178.1950.9551.8950.0654.6357.3758.4158.8459.6861.4563.03102.4683.1788.9587.6688.1793.0785.0796.8094.28
Interest Paid Net 82.2469.9775.41141.6578.9385.4381.5363.4760.5046.8750.6544.5642.9850.3945.3057.6853.0754.0056.3062.2979.2385.8066.2189.7571.3184.5781.8181.4587.6488.08
Allocated Share Based Compensation Expense 8.757.52NANA11.8711.71NANANANANANANANANANANANA-2.582.582.5831.655.535.546.9813.675.515.697.3514.28
Income Tax Expense Benefit 5.286.748.3711.684.504.676.973.713.567.4110.05-25.382.841.98-1.8023.781.8412.8122.9023.8926.9129.7432.671.940.471.4538.661.19-0.252.21
Income Taxes Paid 2.831.601.643.982.572.171.031.852.902.160.731.632.794.000.854.983.196.0912.4918.6519.968.741.1856.682.721.651.442.141.641.51
Profit Loss 40.10-6.27-100.6159.5762.7311.20-525.0020.1168.9053.3831.9671.7776.8326.99-208.7368.74-217.35-104.50160.68363.852596.69213.0497.82219.16105.340.2853.55-10.75147.4873.85
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax 1.1948.21NA22.3161.66-81.54NA117.2218.3865.24NA5.368.5511.64NA7.930.08-45.48NA-9.95-28.52-17.03NANANANANANANANA
Net Income Loss 50.796.50-45.4868.3861.9120.70-477.7523.3065.9542.0127.4163.5264.5120.55-194.9865.70-185.2217.49205.75335.442412.73194.02113.03203.18124.079.6844.33-12.90132.1063.88
Comprehensive Income Net Of Tax 49.6747.32-150.5186.73119.82-57.83-487.96135.1887.47111.3255.0669.7873.8334.90-180.2458.51-185.15-24.99212.88326.142386.05174.9786.52204.00127.1619.6351.21-6.94128.9263.93
Preferred Stock Dividends Income Statement Impact 15.5315.5315.5315.5315.5315.5315.5315.5315.5315.5316.1516.8016.4716.4714.1512.5312.5312.5312.5312.5312.5312.5312.5312.5312.5313.0417.0116.1316.1316.13
Net Income Loss Available To Common Stockholders Basic 35.26-9.03-61.0152.8546.385.17-493.287.7750.4226.4811.2737.6948.054.08-209.1353.17-197.754.96193.22322.912400.20181.49100.49190.65111.53-17.8427.32-29.03115.9747.75

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Assets 16210.1816207.1716187.6716452.5416437.8416272.4216493.3817175.6717152.4217492.3617266.5917488.8016656.7916145.1416221.8217562.9018042.4518209.6618287.0118216.1017913.8617637.9617180.7916678.0216866.0816864.4817397.9316842.1220889.2920731.45
Liabilities 9798.729829.859843.939909.329963.019909.229980.2610001.109995.6010307.2310062.6710218.299338.798657.328667.409983.4610394.6210292.6510087.129651.519555.6511679.9811289.3510715.9310984.4510982.5811405.3010583.8412067.9811902.05
Liabilities And Stockholders Equity 16210.1816207.1716187.6716452.5416437.8416272.4216493.3817175.6717152.4217492.3617266.5917488.8016656.7916145.1416221.8217562.9018042.4518209.6618287.0118216.1017913.8617637.9617180.7916678.0216866.0816864.4817397.9316842.1220889.2920731.45
Stockholders Equity 5626.305539.095509.065810.785734.865691.635839.736438.056396.826184.866236.356294.306282.376337.916533.206468.846496.426837.036732.037075.076860.554443.994465.234377.924281.884360.094337.654571.086916.436841.71

    2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31
Cash And Cash Equivalents At Carrying Value 872.61892.65997.001000.361133.69890.96889.69845.42988.40973.861760.222128.962172.201636.091624.481411.051768.461586.741515.011132.49922.60307.05570.92772.521090.791327.381817.651282.231471.301484.81
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 1116.851148.921261.581262.481312.131033.841021.16977.051116.321141.261930.352268.202317.341755.611730.371490.341863.341667.311607.131245.561076.91909.63716.90919.811211.961418.071914.811385.781557.691583.01
Land 2434.212436.222436.222457.592457.592451.832451.832477.962493.692540.192540.192528.212394.862420.052420.052589.452588.202589.802591.262602.042609.872608.773306.283306.263175.833170.163143.653124.974048.974056.67

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Investments In Affiliates Subsidiaries Associates And Joint Ventures 2711.082599.132610.562670.782641.302633.562665.073250.203270.233299.633297.393287.873355.403363.663491.113504.333648.653970.793999.164023.824025.53730.26858.11909.44959.801033.231056.831064.981354.091415.75
Finite Lived Intangible Assets Net 122.41124.89127.08130.09134.68137.16139.64142.12144.60149.61154.90158.4421.3522.3923.8625.7527.6629.1230.9630.7732.4834.16136.78139.99146.37152.83159.26166.20176.51184.01

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Line Of Credit 575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.00575.001075.001075.00575.00655.0080.00530.0080.0080.0080.0080.000.000.00115.63115.63

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Long Term Debt 2565.152564.292563.432562.572561.722560.862560.032559.172558.462563.382562.602562.232562.151818.911818.451817.982317.512317.051766.711846.251270.802120.341668.821673.581672.911672.241592.351219.991334.891334.16
Senior Notes 1194.891194.381193.871193.361192.851192.341191.831191.321190.811190.301189.791189.681189.86446.89446.69446.48446.28446.08445.87NANANANANANANANANANANA
Minority Interest 191.70195.08196.22258.44259.67241.03236.65253.23253.99253.11278.89285.52285.95415.28414.96416.85432.49456.19578.95635.18635.59646.90642.65659.59661.71664.79670.05716.49727.80721.62

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Stockholders Equity 5626.305539.095509.065810.785734.865691.635839.736438.056396.826184.866236.356294.306282.376337.916533.206468.846496.426837.036732.037075.076860.554443.994465.234377.924281.884360.094337.654571.086916.436841.71
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 5818.005734.175705.296069.225994.535932.666076.386691.276650.816437.976515.246579.826568.326753.196948.156885.696928.917293.217310.987710.267496.145090.895107.885037.514943.595024.885007.705287.577644.237563.33
Common Stock Value 7.607.607.597.597.607.657.657.657.657.657.657.657.647.647.637.637.627.627.627.617.617.617.607.597.597.587.587.577.567.55
Additional Paid In Capital 8314.668261.578263.298341.818331.238367.358369.238362.398339.168097.528143.098138.348069.038080.398192.518123.528095.778112.527827.707872.607845.757676.777725.867580.467555.997629.017492.667501.827279.837183.32
Retained Earnings Accumulated Deficit -3983.19-4018.45-4009.39-3891.27-3938.20-3961.39-3894.58-3299.63-3205.75-3154.55-3079.32-2989.00-2925.16-2871.68-2774.18-2463.64-2415.50-2091.61-1954.27-1649.04-1845.99-4120.27-4167.18-4135.60-4206.38-4198.09-4183.25-4098.13-1524.81-1506.24
Accumulated Other Comprehensive Income Loss Net Of Tax 104.78105.9265.11170.18151.7795.56174.97185.1873.3051.78-17.53-45.18-51.44-60.75-75.10-89.83-82.65-82.72-40.23-47.36-38.07-11.387.6634.1733.3530.26128.68121.80115.84119.02
Minority Interest 191.70195.08196.22258.44259.67241.03236.65253.23253.99253.11278.89285.52285.95415.28414.96416.85432.49456.19578.95635.18635.59646.90642.65659.59661.71664.79670.05716.49727.80721.62
Minority Interest Decrease From Distributions To Noncontrolling Interest Holders 0.110.0817.700.023.000.818.414.555.4735.9610.045.88139.185.887.4914.995.295.2419.808.858.458.497.967.987.997.917.577.588.919.16

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Net Cash Provided By Used In Operating Activities 194.6831.48211.2862.13282.8791.87239.12129.20259.61171.01283.705.39248.52224.19232.88-76.36216.2751.45264.57105.12228.7364.12314.60246.78-24.16265.42198.52345.4114.93301.29
Net Cash Provided By Used In Investing Activities -178.47-128.62-194.59-86.5726.72125.65-57.13-133.8878.77-794.63-139.71-209.18-126.92-56.54-211.22247.47-24.72-99.34234.73115.041710.22403.29-225.42-397.40-64.29-190.62-152.02197.23-94.88-156.65
Net Cash Provided By Used In Financing Activities -48.27-15.52-17.59-25.21-31.29-204.84-137.88-134.60-363.32-165.47-481.84154.65440.12-142.41218.37-544.124.48108.07-137.72-51.51-1771.67-274.68-292.09-141.53-117.67-571.54482.53-714.5654.63-160.95

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Net Cash Provided By Used In Operating Activities 194.6831.48211.2862.13282.8791.87239.12129.20259.61171.01283.705.39248.52224.19232.88-76.36216.2751.45264.57105.12228.7364.12314.60246.78-24.16265.42198.52345.4114.93301.29
Net Income Loss 50.796.50-45.4868.3861.9120.70-477.7523.3065.9542.0127.4163.5264.5120.55-194.9865.70-185.2217.49205.75335.442412.73194.02113.03203.18124.079.6844.33-12.90132.1063.88
Profit Loss 40.10-6.27-100.6159.5762.7311.20-525.0020.1168.9053.3831.9671.7776.8326.99-208.7368.74-217.35-104.50160.68363.852596.69213.0497.82219.16105.340.2853.55-10.75147.4873.85
Depreciation Depletion And Amortization 115.79114.01115.54116.34113.12112.58139.61140.16124.26122.27132.84105.5294.19100.03112.04111.9897.0196.9196.98101.08117.73123.14119.02120.01118.41115.34122.29117.64144.01145.89
Increase Decrease In Accounts Receivable -5.678.51-17.651.89-7.4813.862.314.52-5.893.50-11.9022.57-11.551.08-21.76-1.777.9320.94-2.1215.3511.920.832.874.151.815.704.302.96-1.50-6.95
Share Based Compensation 8.757.529.959.6611.8711.716.363.895.8513.155.445.516.1521.239.046.177.7025.775.865.8710.5231.655.535.546.9813.67NANANANA
Amortization Of Financing Costs 6.015.355.346.005.956.015.745.645.604.836.504.664.414.684.994.914.314.264.285.156.248.147.498.358.038.109.547.988.358.98

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Net Cash Provided By Used In Investing Activities -178.47-128.62-194.59-86.5726.72125.65-57.13-133.8878.77-794.63-139.71-209.18-126.92-56.54-211.22247.47-24.72-99.34234.73115.041710.22403.29-225.42-397.40-64.29-190.62-152.02197.23-94.88-156.65

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Net Cash Provided By Used In Financing Activities -48.27-15.52-17.59-25.21-31.29-204.84-137.88-134.60-363.32-165.47-481.84154.65440.12-142.41218.37-544.124.48108.07-137.72-51.51-1771.67-274.68-292.09-141.53-117.67-571.54482.53-714.5654.63-160.95
Payments Of Dividends Common Stock NANA57.120.000.0071.95101.67101.66101.62101.62101.59101.53101.52101.47101.38101.31126.14498.49126.03125.95125.93125.88119.89119.86119.83119.76113.94113.73134.49134.33
Payments For Repurchase Of Common Stock NANA0.005.93NANANANANANANANANANANANANANANANANANANANANANANANANANA

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Revenues 450.27436.38441.89451.00472.36445.92446.94457.43453.49442.13421.08409.21378.94379.98376.43363.96343.03444.53460.97465.96463.10534.67543.42542.05541.82536.44536.23528.75511.09508.06
Vornado Realty Lp 450.27436.38441.89451.00472.36445.92446.94457.43453.49442.13421.08409.21378.94379.98376.43363.96343.03444.53460.97465.96463.10534.67543.42542.05541.82536.44536.23528.75511.09508.06
Vornado Realty Lp, Fee And Other Income 56.6747.1050.3950.6353.5249.1350.8848.2948.3044.8544.6640.0139.3440.6637.5241.7127.8343.2642.5638.3241.8034.7943.3638.1038.9136.02NANANANA
Vornado Realty Lp, Rental Revenue 393.60389.28391.49400.37418.83396.79396.06409.14405.19397.28376.42369.20339.60339.32338.91322.25315.19401.27418.41427.64421.30499.88500.06503.95502.91500.42NANANANA
Fee And Other Income 56.6747.1050.3950.6353.5249.1350.8848.2948.3044.8544.6640.0139.3440.6637.5241.7127.8343.2642.5638.3241.8034.7943.3638.1038.9136.02NANANANA
Rental Revenue 393.60389.28391.49400.37418.83396.79396.06409.14405.19397.28376.42369.20339.60339.32338.91322.25315.19401.27418.41427.64421.30499.88500.06503.95502.91500.42NANANANA
Rental Revenue, New York 312.90311.74314.14319.46316.70319.52321.96317.33322.04318.85294.89280.76266.88266.70268.20254.92245.65314.73338.79342.77335.79407.64424.14425.08420.92413.84NANANANA
Rental Revenue, Other 80.6977.5477.3580.91102.1377.2874.1091.8183.1578.4481.5288.4472.7272.6270.7167.3469.5586.5479.6284.8685.5192.2475.9278.8681.9986.58NANANANA
New York 367.58358.23361.11364.77362.47363.81366.70360.03364.16358.55335.84316.64301.14303.97302.36293.14270.63355.62377.63380.57376.38443.29466.55462.45458.55448.48NANANANA
Other 82.6978.1480.7886.23109.8982.1180.2497.4089.3383.5885.2492.5777.8076.0174.0770.8272.4088.9283.3485.3986.7291.3876.8679.6083.2787.95NANANANA
Revenue From Contract With Customer Excluding Assessed Tax 450.27436.38441.89451.00472.36445.92446.94457.43453.49442.13421.08409.21378.94379.98376.43363.96343.03444.53460.97465.96463.10534.67543.42542.05541.82536.44536.23528.75511.09508.06
Product And Service Other 11.508.7111.2911.9414.7210.7512.0810.6911.449.3911.506.678.196.816.556.014.887.927.444.324.732.777.984.495.344.90NANANANA
Building Maintenance Service 38.4735.7836.0335.4335.1535.3335.9235.0634.0032.6932.3930.8328.0828.4827.9024.0521.1132.4731.6430.6832.5729.7932.2628.8730.8728.36NANANANA
Fee And Other Income 56.6747.1050.3950.6353.5249.1350.8848.2948.3044.8544.6640.0139.3440.6637.5241.7127.8343.2642.5638.3241.8034.7943.3638.1038.9136.02NANANANA
Management And Leasing Fees 6.712.613.073.263.663.052.872.532.872.770.772.513.075.373.0611.651.842.873.483.334.502.243.124.732.712.76NANANANA
Parking Revenue 4.744.655.124.895.205.155.354.604.844.36NANANANANANANANANANANANANANANANANANANANA
Tenant Services 9.609.0310.0912.799.809.779.7314.1311.469.8910.1811.368.657.267.809.516.8810.069.5813.2912.0712.5712.3215.6313.5312.46NANANANA
Product And Service Other, New York 7.085.155.543.874.253.453.422.742.902.025.350.571.571.801.270.900.873.581.741.261.181.645.391.591.762.01NANANANA
Product And Service Other, Other 4.423.565.758.0610.477.318.667.968.537.366.156.106.615.015.285.104.014.355.703.063.561.132.582.903.572.88NANANANA
Building Maintenance Service, New York 40.6938.6438.1838.0037.7537.6838.2437.3736.2134.7134.7132.6329.6029.9529.6925.5922.4134.4333.8732.7934.9431.7634.2031.3333.4130.15NANANANA
Building Maintenance Service, Other -2.22-2.86-2.14-2.57-2.61-2.35-2.32-2.31-2.21-2.02-2.32-1.80-1.52-1.47-1.78-1.54-1.29-1.96-2.23-2.11-2.37-1.97-1.94-2.46-2.54-1.80NANANANA
Fee And Other Income, New York 54.6746.5046.9645.3145.7744.3044.7342.7042.1239.7040.9535.8834.2637.2734.1638.2324.9840.8838.8337.7940.5935.6542.4137.3637.6434.65NANANANA
Fee And Other Income, Other 2.000.603.435.327.764.836.145.586.185.143.714.135.083.393.363.482.852.383.730.531.21-0.860.940.741.271.37NANANANA
Management And Leasing Fees, New York 6.912.713.243.443.763.173.072.603.012.970.892.683.095.523.2011.731.702.873.233.754.472.252.824.442.462.48NANANANA
Management And Leasing Fees, Other -0.20-0.10-0.17-0.18-0.10-0.12-0.20-0.06-0.14-0.20-0.11-0.17-0.01-0.15-0.14-0.080.14-0.010.25-0.420.03-0.010.300.290.240.28NANANANA
Parking Revenue, New York 3.753.664.143.954.204.214.423.824.033.71NANANANANANANANANANANANANANANANANANANANA
Parking Revenue, Other 0.990.990.980.941.000.940.930.780.820.65NANANANANANANANANANANANANANANANANANANANA
Tenant Services, New York 6.376.557.398.797.337.587.879.948.137.417.557.575.935.015.446.594.347.387.119.349.349.229.5011.7010.399.77NANANANA
Tenant Services, Other 3.232.482.704.002.482.191.864.203.332.482.633.802.722.252.372.922.542.682.473.952.733.352.833.933.132.69NANANANA

Plots across concepts


IncomeStatement
Income Loss From Continuing Operations 
Before Income Taxes Extraordinary Items Noncontrolling Interest
Expenses
Income Tax Expense Benefit
Balance Sheet
Finite Lived Intangible Assets Net
Assets
Other Assets
Current Assets
Cash And Cash Equivalents At Carrying Value
NonCurrent Assets
Finite Lived Intangible Assets Net
Liabilities
Other Liabilities
Noncurrent Liabilities
Minority Interest
Stockholders Equity
Retained Earnings Accumulated Deficit
CashFlow
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInOperatingActivities
Increase Decrease In Accounts Receivable
NetCashProvidedByUsedInFinancingActivities
Net Cash Provided By Used In Financing Activities
Shares
Weighted Average Number Of Shares Outstanding Basic
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Due Year Two
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization

Line plots across dimensions of each concept