Recent Annual Filings for NYMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,401,328,000 $258,660,000 $336,384,000 $-88,069,000 $29,953,000 $1,139,682,000 $-50,296,000
2022 $6,240,745,000 $258,388,000 $598,495,000 $-344,325,000 $91,783,000 $460,069,000 $43,077,000
2021 $5,641,698,000 $206,866,000 $15,932,000 $144,960,000 $138,912,000 $27,489,000 $33,371,000
2020 $4,655,587,000 $350,161,000 $637,423,000 $-353,834,000 $110,755,000 $-2,045,760,000 $182,878,000
2019 $23,483,369,000 $694,614,000 $522,137,000 $192,102,000 $35,101,000 $746,431,000 $12,467,000
2018 $14,737,638,000 $455,799,000 $352,061,000 $51,498,000 $24,177,000 $621,247,000 $2,950,000
2017 $12,056,285,000 $366,087,000 $274,165,000 $80,234,000 $29,332,000 $377,276,000 $-24,080,000
2016 $8,951,631,000 $319,306,000 $248,651,000 $59,144,000 $53,844,000 $-65,911,000 $21,595,000