Recent Annual Filings for MFA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,409,604,000 $723,965,000 $170,414,000 $111,029,000 $200,120,000 $337,578,000 $113,101,000
2023 $10,772,690,000 $605,597,000 $168,282,000 $76,521,000 $108,739,000 $1,434,981,000 $-5,870,000
2022 $9,112,405,000 $482,419,000 $164,634,000 $-255,818,000 $366,077,000 $850,213,000 $89,634,000
2021 $9,139,688,000 $362,302,000 $123,013,000 $297,155,000 $120,293,000 $1,629,663,000 $-417,072,000
2020 $6,932,300,000 $359,384,000 $141,514,000 $-972,144,000 $38,396,000 $-5,735,049,000 $686,855,000
2019 $13,567,364,000 $581,726,000 $97,110,000 $327,876,000 $215,775,000 $964,921,000 $45,955,000
2018 $12,420,327,000 $455,675,000 $79,663,000 $112,865,000 $147,881,000 $1,634,960,000 $-375,034,000
2017 $10,954,734,000 $433,448,000 $71,901,000 $357,935,000 $176,070,000 $-1,802,773,000 $189,645,000