Recent Annual Filings for GPMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,846,932,000 $263,735,000 $43,290,000 $-63,198,000 $52,096,000 $-554,474,000 $59,051,000
2022 $3,454,101,000 $210,854,000 $36,697,000 $-40,825,000 $58,898,000 $-531,657,000 $-64,128,000
2021 $3,988,518,000 $198,288,000 $35,271,000 $68,353,000 $60,301,000 $-324,971,000 $-124,900,000
2020 $4,219,648,000 $237,713,000 $95,118,000 $20,255,000 $-192,444,000 $169,429,000
2019 $4,460,862,000 $246,257,000 $40,275,000 $64,182,000 $1,006,421,000 $36,341,000
2018 $3,361,881,000 $183,880,000 $30,730,000 $63,025,000 $57,419,000 $790,608,000 $12,705,000
2017 $2,499,130,000 $117,837,000 $22,073,000 $53,367,000 $19,442,000 $960,677,000 $54,439,000