Recent Annual Filings for OWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,992,470,000 $527,859,000 $1,688,670,000 $420,446,000 $999,555,000 $-313,481,000 $47,929,000
2023 $8,817,621,000 $1,731,608,000 $1,413,792,000 $220,776,000 $949,145,000 $-795,033,000 $36,081,000
2022 $8,893,075,000 $1,369,722,000 $1,372,205,000 $-40,235,000 $728,447,000 $-217,717,000 $25,512,000
2021 $8,266,398,000 $823,878,000 $1,751,145,000 $-1,802,266,000 $281,658,000 $1,348,151,000 $30,937,000