Recent Annual Filings for RWT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $14,504,327,000 $724,462,000 $725,101,000 $8,637,000 $-2,015,825,000 $1,146,529,000 $39,424,000
2022 $13,030,899,000 $707,854,000 $891,294,000 $-223,461,000 $-139,140,000 $-276,866,000 $-202,120,000
2021 $14,706,944,000 $574,926,000 $236,835,000 $314,907,000 $-5,694,565,000 $4,277,503,000 $-12,966,000
2020 $10,355,066,000 $571,916,000 $1,158,371,000 $-627,581,000 $-505,467,000 $-3,311,330,000 $253,617,000
2019 $17,995,440,000 $622,281,000 $445,658,000 $149,399,000 $-1,165,577,000 $225,471,000 $85,756,000
2018 $11,937,406,000 $378,717,000 $248,029,000 $95,649,000 $-1,611,733,000 $1,682,755,000 $58,270,000
2017 $7,039,822,000 $248,057,000 $95,899,000 $153,801,000 $-1,713,163,000 $1,358,125,000 $-68,181,000
2016 $5,483,477,000 $246,355,000 $111,395,000 $111,112,000 $-545,653,000 $-795,393,000 $-7,385,000