Recent Annual Filings for RITM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $46,048,957,000 $5,205,836,000 $3,997,027,000 $948,704,000 $-2,185,201,000 $4,831,071,000 $220,714,000
2023 $35,311,785,000 $3,798,177,000 $3,045,344,000 $636,697,000 $1,101,554,000 $-1,298,887,000 $55,185,000
2022 $32,479,336,000 $4,726,927,000 $3,464,126,000 $930,683,000 $6,874,063,000 $-6,983,124,000 $89,192,000