Recent Annual Filings for CIM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,928,998,000 $263,363,000 $137,157,000 $82,427,000 $213,269,000 $-807,937,000 $-42,916,000
2022 $13,401,991,000 $439,828,000 $953,147,000 $-688,775,000 $325,722,000 $-956,704,000 $-121,141,000
2021 $15,407,403,000 $610,918,000 $-63,601,000 $517,072,000 $519,182,000 $-2,950,768,000 $116,651,000
2020 $17,523,019,000 $514,069,000 $425,057,000 $-61,386,000 $257,903,000 $-8,429,088,000 $159,212,000
2019 $27,118,671,000 $602,296,000 $188,552,000 $495,055,000 $65,036,000 $-1,239,504,000 $62,392,000
2018 $27,708,639,000 $594,208,000 $182,480,000 $241,567,000 $297,584,000 $5,712,400,000 $-16,083,000
2017 $21,222,070,000 $606,010,000 $81,234,000 $603,464,000 $487,291,000 $3,729,573,000 $-114,145,000
2016 $16,684,908,000 $586,211,000 $34,185,000 $496,258,000 $552,907,000 $781,305,000 $63,652,000