Recent Annual Filings for NLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $103,556,384,000 $247,796,000 $-779,232,000 $1,329,486,000 $3,310,659,000 $11,750,050,000 $75,879,000
2023 $93,227,236,000 $-111,384,000 $1,487,639,000 $735,039,000 $2,367,203,000 $5,884,121,000 $-164,566,000
2022 $81,850,712,000 $1,469,152,000 $-302,839,000 $-2,940,886,000 $5,372,411,000 $9,389,283,000 $234,624,000
2021 $76,764,064,000 $1,733,793,000 $-667,162,000 $-19,645,000 $3,076,839,000 $-7,877,731,000 $98,387,000
2020 $88,455,103,000 $1,330,513,000 $2,248,708,000 $346,372,000 $527,967,000 $-41,486,767,000 $-607,026,000
2019 $130,295,081,000 $1,002,422,000 $3,176,348,000 $1,954,965,000 $-1,199,557,000 $21,956,208,000 $114,980,000
2018 $105,787,527,000 $1,434,703,000 $1,382,930,000 $-799,697,000 $2,622,018,000 $-684,438,000 $1,029,160,000
2017 $101,760,050,000 $-91,226,000 $1,528,889,000 $6,932,239,000 $6,900,552,000 $-833,157,000