Recent Annual Filings for KREF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,350,398,000 $151,716,000 $117,141,000 $34,327,000 $132,563,000 $-1,290,566,000 $-41,766,000
2023 $7,547,618,000 $181,610,000 $212,557,000 $-31,657,000 $155,715,000 $-271,510,000 $-102,308,000
2022 $7,802,321,000 $185,873,000 $148,222,000 $37,593,000 $141,125,000 $1,012,859,000 $-23,149,000
2021 $6,703,239,000 $165,511,000 $27,644,000 $137,183,000 $124,793,000 $1,578,981,000 $162,938,000
2020 $4,965,612,000 $141,876,000 $87,067,000 $54,397,000 $115,062,000 $-160,558,000 $43,213,000
2019 $5,057,018,000 $115,475,000 $24,931,000 $89,965,000 $91,713,000 $815,689,000 $-18,912,000
2018 $5,231,845,000 $98,558,000 $8,821,000 $89,807,000 $76,830,000 $1,903,394,000 $-16,989,000
2017 $7,394,893,000 $61,921,000 $740,000 $60,079,000 $53,801,000 $1,037,050,000 $7,174,000