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PS BUSINESS PARKS, INC./MD

CIK 0000866368

Revenue (TTM)
$388.36M
−29.2% YoY FY Feb 2023
Net Income (TTM)
$163.89M
−234.4% YoY FY Feb 2023
EPS Diluted (TTM)
$8.92
−72.2% YoY FY Feb 2023
Gross Margin
FY Feb 2023
Operating Margin
45.4%
FY Feb 2023
Net Margin
42.2%
FY Feb 2023
Free Cash Flow (TTM)
$147.82M
FY Feb 2023
Cash
$51.61M
FY Feb 2023
Total Debt
$3.87B
FY Feb 2023
Shares Outstanding
100 sh
FY Feb 2023

Revenue & Net Income

EPS (Diluted)

Margins

Cash Flow

Revenue Growth (YoY)

Balance Sheet

Cash vs Debt

Recent filings