Recent Annual Filings for RMBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,343,136,000 $556,624,000 $356,581,000 $179,830,000 $230,599,000 $-167,987,000 $5,008,000
2023 $1,258,227,000 $461,117,000 $273,957,000 $337,598,000 $195,786,000 $-169,623,000 $-30,927,000
2022 $1,012,594,000 $454,793,000 $462,618,000 $-17,821,000 $230,393,000 $-362,935,000 $17,430,000
2021 $1,232,646,000 $328,304,000 $305,018,000 $16,963,000 $209,217,000 $-114,209,000 $-21,060,000
2020 $1,243,876,000 $242,747,000 $282,378,000 $-43,598,000 $185,459,000 $-61,186,000 $33,985,000
2019 $1,338,986,000 $224,027,000 $328,566,000 $-80,220,000 $128,535,000 $-298,000 $-13,734,000
2018 $1,361,155,000 $231,201,000 $318,168,000 $-163,151,000 $87,117,000 $-127,684,000 $-109,592,000
2017 $891,072,000 $393,096,000 $338,689,000 $-14,451,000 $117,437,000 $46,445,000 $90,550,000