Recent Annual Filings for CMTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,069,361,000 $306,552,000 $300,525,000 $6,027,000 $111,140,000 $-205,073,000 $-133,270,000
2022 $8,241,513,000 $287,201,000 $175,046,000 $112,155,000 $111,028,000 $676,297,000 $14,023,000
2021 $7,455,271,000 $247,015,000 $76,626,000 $170,389,000 $213,557,000 $62,801,000 $-96,838,000