Recent Annual Filings for EFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,315,930,000 $107,721,000 $18,511,000 $87,898,000 $-241,858,000 $75,628,000 $8,676,000
2022 $14,085,886,000 $140,441,000 $165,412,000 $-70,869,000 $42,686,000 $1,839,031,000 $129,033,000
2021 $5,177,419,000 $131,475,000 $45,879,000 $140,556,000 $51,293,000 $1,954,985,000 $-18,986,000
2020 $3,413,863,000 $111,866,000 $110,045,000 $28,377,000 $119,506,000 $-587,428,000 $39,345,000
2019 $4,338,217,000 $81,422,000 $18,245,000 $61,711,000 $79,248,000 $1,612,681,000 $27,396,000
2018 $3,971,499,000 $135,041,000 $91,916,000 $49,911,000 $-494,181,000 $491,604,000 $-2,577,000
2017 $2,993,341,000 $93,960,000 $58,792,000 $35,964,000 $-462,704,000 $386,663,000 $-76,041,000
2016 $2,413,195,000 $80,185,000 $44,420,000 $-15,702,000 $69,693,000 $-130,328,000 $-60,635,000