Recent Annual Filings for BXMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,801,955,000 $-203,019,000 $366,453,000 $-3,882,684,000 $-26,531,000
2023 $24,036,178,000 $2,037,621,000 $1,782,362,000 $249,329,000 $458,841,000 $-1,847,943,000 $58,674,000
2022 $25,353,985,000 $1,338,954,000 $1,084,894,000 $252,771,000 $396,825,000 $2,607,224,000 $-259,814,000
2021 $22,703,289,000 $854,690,000 $431,994,000 $419,411,000 $382,483,000 $5,508,224,000 $261,184,000
2020 $16,958,955,000 $779,648,000 $638,911,000 $167,817,000 $336,607,000 $-110,769,000 $139,880,000
2019 $16,551,871,000 $882,679,000 $575,792,000 $325,382,000 $304,037,000 $1,612,552,000 $45,441,000
2018 $14,467,375,000 $756,109,000 $469,988,000 $281,297,000 $290,002,000 $3,957,708,000 $3,144,000
2017 $10,258,825,000 $537,915,000 $319,633,000 $244,464,000 $227,461,000 $574,742,000 $26,951,000