CAMDEN PROPERTY TRUSTCPT

Market cap
$12.9B
P/E ratio
32.1x
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Property revenues---------1,0281,0441,1441,4231,542
Property operating and maintenance180188197200211220207218221236252268316354
Real estate taxes6869738694102105111123131143149182195
Total property expenses---------366395417498549
Fee and asset management-6567287898448938769019551,0281,0441,1441,4231,542
Interest and other income-95-11-123233131
Income/(loss) on deferred compensation plans127584-0617-7221214-2015
Total non-property income/(loss)2821162115715283332626-1120
Property management---------2524262934
Fee and asset management---------64532
General and administrative3135384151464751515354596063
Interest126112104989397938784819297113133
Depreciation and amortization174182210220236257250264301336367421577575
Expense/(benefit) on deferred compensation plans127584-0617-7221214-2015
Total other expenses370367382392415429425448459523553623762822
Loss on early retirement of debt--------0--12-0---3
Gain on sale of operating properties, including land---------66939336
Gain on acquisition of unconsolidated joint venture interests------------474-
Equity in income of joint ventures-16202576778158103-
Income from continuing operations before income taxes-35171157303260457202162225131314664414
Income tax expense22122221112234
Net income3160294346301258838201161224129312662411
Less income allocated to non-controlling interests-45499184555887
Net income attributable to common shareholders3160294346301258838201161224129312662411
Earnings Per Share, Basic0.330.673.353.823.292.779.082.141.632.231.242.976.073.71
Earnings Per Share, Diluted0.330.663.33.783.272.769.052.131.632.221.242.966.043.7
Net income3160294346301258838201161224129312662411
Unrealized gain (loss) and unamortized prior service cost on post retirement obligation--001-000-000-0-00
Unrealized loss on cash flow hedging activities--------------1
Reclassification of net loss on cash flow hedging activities, prior service cost and net loss on post retirement obligation----0000-0-01111
Unrealized gain (loss) and unamortized prior service cost on post retirement obligation--001-000-000-0-00
Comprehensive income3993294346300259838203168211130314663411
Reclassification of net loss on cash flow hedging activities, prior service cost and net loss on post retirement obligation----0000-0-01111
Comprehensive income3993294346300259838203168211130314663411
Less income allocated to non-controlling interests-45499184555887
Comprehensive income attributable to common shareholders3182283336291250820198163206125306656404
Net income3160294346301258838201161224129312662411
Unrealized gain (loss) and unamortized prior service cost on post retirement obligation--001-000-000-0-00
Unrealized loss on cash flow hedging activities--------------1
Reclassification of net loss on cash flow hedging activities, prior service cost and net loss on post retirement obligation----0000-0-01111
Unrealized gain (loss) and unamortized prior service cost on post retirement obligation--001-000-000-0-00
Comprehensive income3993294346300259838203168211130314663411
Reclassification of net loss on cash flow hedging activities, prior service cost and net loss on post retirement obligation----0000-0-01111
Comprehensive income3993294346300259838203168211130314663411
Less income allocated to non-controlling interests-45499184555887
Comprehensive income attributable to common shareholders3182283336291250820198163206125306656404