Recent Annual Filings for NREF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,416,073,000 $28,136,000 $-7,826,000 $35,962,000 $29,284,000 $-995,417,000 $-9,596,000
2023 $7,018,353,000 $16,798,000 $-1,942,000 $18,740,000 $31,556,000 $-776,596,000 $-3,698,000
2022 $8,154,136,000 $37,733,000 $23,519,000 $14,214,000 $65,801,000 $-1,029,264,000 $-12,885,000
2021 $8,513,917,000 $26,055,000 $-57,417,000 $83,472,000 $49,298,000 $-567,415,000 $-239,000
2020 $6,176,310,000 $17,666,000 $-16,504,000 $34,170,000 $32,902,000 $68,830,000 $33,471,000