Recent Annual Filings for DBRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,513,318,000 $607,028,000 $496,865,000 $146,032,000 $60,122,000 $-90,841,000 $-43,952,000
2023 $3,562,550,000 $821,383,000 $551,873,000 $47,762,000 $233,637,000 $58,152,000 $-686,489,000
2022 $11,028,503,000 $1,144,572,000 $1,779,597,000 $-631,837,000 $262,582,000 $923,785,000 $-729,506,000
2021 $14,197,816,000 $965,799,000 $1,488,225,000 $-984,856,000 $248,237,000 $411,260,000 $803,237,000