Recent Annual Filings for CHMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,491,175,000 $34,575,000 $18,263,000 $7,485,000 $-4,691,000 $147,457,000 $1,432,000
2023 $1,392,992,000 $-21,202,000 $13,730,000 $-8,896,000 $40,659,000 $67,168,000 $3,773,000
2022 $1,408,825,000 $40,193,000 $12,934,000 $-14,442,000 $59,913,000 $57,066,000 $-11,223,000
2021 $1,302,862,000 $28,138,000 $14,827,000 $-15,537,000 $48,007,000 $-267,969,000 $-53,441,000
2020 $1,593,488,000 $-57,324,000 $14,658,000 $-59,038,000 $61,195,000 $-1,282,388,000 $38,510,000
2019 $2,956,552,000 $-47,887,000 $12,431,000 $36,318,000 $69,684,000 $739,120,000 $51,689,000
2018 $2,153,277,000 $49,048,000 $9,887,000 $2,315,000 $63,638,000 $85,770,000 $-16,476,000
2017 $2,050,685,000 $18,251,000 $-30,364,000 $51,465,000 $40,240,000 $1,195,738,000 $11,503,000