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APPLE HOSPITALITY REIT, INC.

CIK: 1418121 SIC: 6798
$1.41B
Revenue
$175.36M
Net Income
40.01%
Gross Margin
18.25%
Op. Margin
$577.30M
Free Cash Flow
Financial Statements Annual (10-K)
Showing 10 of 15 annual reports available (2011 - 2025)
Breakdown TTM
(Dec 31, 2025)
FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
FY 2020
(Dec 31, 2020)
FY 2019
(Dec 31, 2019)
FY 2018
(Dec 31, 2018)
FY 2017
(Dec 31, 2017)
FY 2016
(Dec 31, 2016)
+ Total Revenue $1.41B $1.41B $1.43B $1.34B $1.24B $933.87M $601.88M $1.27B $1.27B $1.24B $1.04B
Revenue Growth % 0.0% -1.3% 6.5% 8.5% 32.6% 55.2% -52.5% -0.3% 2.6% 19.0% nan%
Cost of Revenue $847.32M $847.32M $837.87M $780.73M $710.48M $542.18M $402.28M $724.42M $715.93M $697.40M $582.84M
+ Gross Profit $565.06M $565.06M $593.60M $563.08M $527.94M $391.69M $199.60M $542.18M $554.62M $541.22M $458.19M
Gross Margin % 40.0% 40.0% 41.5% 41.9% 42.6% 41.9% 33.2% 42.8% 43.7% 43.7% 44.0%
Operating Expenses $1.17B $1.17B $1.16B $1.10B $1.03B $850.42M $714.77M $1.04B $1.01B $1.02B $855.76M
+ Operating Income $257.80M $257.80M $292.76M $247.48M $206.48M $87.04M $-102.04M $233.79M $257.86M $214.39M $185.26M
Operating Margin % 18.3% 18.3% 20.5% 18.4% 16.7% 9.3% -17.0% 18.5% 20.3% 17.3% 17.8%
Interest Expense $137.41M $79.76M $75.56M $67.83M $57.72M $63.15M $63.53M $59.88M $50.31M $46.88M $41.88M
Income Before Tax $176.32M $176.32M $215.01M $178.62M $146.75M $19.30M $-172.88M $172.60M $206.67M $183.34M $145.08M
Income Tax Expense $959.00K $959.00K $947.00K $1.14M $1.94M $468.00K $332.00K $679.00K $587.00K $847.00K $431.00K
+ Net Income $175.36M $175.36M $214.06M $177.49M $144.81M $18.83M $-173.21M $171.92M $206.09M $182.49M $144.65M
Net Margin % 12.4% 12.4% 15.0% 13.2% 11.7% 2.0% -28.8% 13.6% 16.2% 14.7% 13.9%
Basic EPS 0.74 0.74 0.89 0.77 0.63 0.08 -0.77 nan nan nan nan
Diluted EPS 0.74 0.74 0.89 0.77 0.63 0.08 -0.77 nan nan nan nan
Basic Shares Outstanding - 237.8M 241.3M 229.3M 228.9M 226.4M 223.5M - - - -
Diluted Shares Outstanding - 237.8M 241.3M 229.3M 228.9M 226.4M 223.5M - - - -
Breakdown FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
FY 2020
(Dec 31, 2020)
FY 2019
(Dec 31, 2019)
FY 2018
(Dec 31, 2018)
FY 2017
(Dec 31, 2017)
FY 2016
(Dec 31, 2016)
Cash & Cash Equivalents $8.52M $10.25M $10.29M $4.08M $3.28M $5.56M - - - -
Total Assets $4.90B $4.97B $4.94B $4.77B $4.79B $4.83B $4.94B $4.93B $4.90B $4.98B
Long-term Debt $1.54B $1.47B $1.37B $1.37B $1.44B $1.48B $1.32B $1.41B $1.22B -
Total Liabilities $1.75B $1.70B $1.61B $1.59B $1.64B $1.80B $1.65B $1.52B $1.33B $1.46B
Common Stock $4.72B $4.77B $4.79B $4.58B $4.57B $4.49B $4.49B $4.50B $4.59B $4.45B
Total Stockholders Equity $3.15B $3.27B $3.32B $3.18B $3.15B $3.03B $3.29B $3.41B $3.57B $3.52B
Total Liabilities & Equity $4.90B $4.97B $4.94B $4.77B $4.79B $4.83B $4.94B $4.93B $4.90B $4.98B
Breakdown TTM
(Dec 31, 2025)
FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
FY 2020
(Dec 31, 2020)
FY 2019
(Dec 31, 2019)
FY 2018
(Dec 31, 2018)
FY 2017
(Dec 31, 2017)
FY 2016
(Dec 31, 2016)
Net Income $206.59M $175.36M $214.06M $177.49M $144.81M $18.83M $-173.21M $171.92M $206.09M $182.49M $144.65M
Depreciation & Amortization $240.57M $192.63M $190.60M $183.24M $181.70M $184.47M $199.79M $193.24M $183.48M $176.50M -
Operating Cash Flow $577.30M $370.22M $405.35M $399.04M $368.45M $217.56M $26.73M $381.67M $404.81M $384.74M $332.03M
Capital Expenditure - $88.20M $78.30M $76.80M - - - - - - -
Acquisitions - - - - - - - - - - $23.99M
Investing Cash Flow $-182.28M $-135.38M $-215.71M $-364.63M $-135.91M $-150.68M $-82.26M $-14.32M $-210.16M $-159.29M $-169.84M
Debt Repayment $109.12M $70.03M $28.70M $46.21M $168.83M $70.72M $44.27M $33.81M $12.66M $39.92M $207.69M
Stock Repurchased $127.78M $58.29M $34.65M $6.88M $2.67M - $14.34M $4.33M $104.30M - $7.87M
Dividends Paid $310.02M $240.43M $243.72M $238.28M $139.47M $6.80M $67.38M $268.67M $275.89M $267.92M $229.06M
Financing Cash Flow $-395.88M $-239.49M $-189.19M $-34.31M $-228.97M $-61.30M $55.24M $-366.32M $-190.81M $-225.45M $-162.20M
Net Change in Cash $-858.00K $-4.65M $449.00K $106.00K $3.56M $5.58M $-293.00K $1.03M $3.84M $366.00K $6.77M
SEC Filing Format - Data shown as it appears in the Q3 2025 (10-Q) filing Period ended: Sep 30, 2025
Condensed Consolidated Statements of Operations
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Total Revenue $373.88M $378.84M $1.09B $1.10B
Cost of Revenue $221.96M $219.94M $642.39M $633.50M
Operating Expenses $305.76M $301.12M $885.68M $873.79M
Operating Income $72.50M $77.73M $208.21M $242.86M
Interest Expense - - $59.90M $56.23M
Income Before Tax $51.12M $56.51M $146.47M $184.96M
Income Tax Expense $242.00K $243.00K $723.00K $713.00K
Net Income $50.88M $56.27M $145.75M $184.25M
Basic EPS 0.21 0.23 0.61 0.76
Diluted EPS 0.21 0.23 0.61 0.76
Basic Shares Outstanding $237.07M $240.50M $238.25M $241.69M
Diluted Shares Outstanding $237.07M $240.50M $238.25M $241.69M
Condensed Consolidated Balance Sheets
Description Sep 30, 2025 Dec 31, 2024
Cash & Cash Equivalents $50.29M $10.25M
Total Assets $4.91B $4.97B
Long-term Debt $1.51B $1.47B
Total Liabilities $1.72B $1.70B
Common Stock $4.73B $4.77B
Total Stockholders Equity $3.19B $3.27B
Total Liabilities & Equity $4.91B $4.97B
Condensed Consolidated Statements of Cash Flows
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Net Income $50.88M $56.27M $145.75M $184.25M
Depreciation & Amortization $48.10M $48.14M $144.06M $142.68M
Operating Cash Flow - - $284.38M $310.14M
Investing Cash Flow - - $-45.10M $-216.87M
Debt Repayment - - $39.07M $26.49M
Stock Repurchased - - $45.23M $34.65M
Dividends Paid $56.80M $57.70M $183.48M $185.88M
Financing Cash Flow - - $-197.99M $-98.18M
Net Change in Cash - - $41.29M $-4.90M

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-K filings.

Annual data represents full fiscal year results. FY = Fiscal Year ending.

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