Recent Annual Filings for STWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $69,504,196,000 $2,049,908,000 $2,098,318,000 $412,554,000 $528,597,000 $-1,454,563,000 $-70,161,000
2022 $79,043,129,000 $1,464,716,000 $1,272,951,000 $1,039,063,000 $213,741,000 $2,797,879,000 $60,219,000
2021 $83,850,397,000 $1,170,088,000 $989,057,000 $489,386,000 $-989,975,000 $4,873,103,000 $-400,248,000
2020 $80,873,509,000 $1,136,155,000 $964,408,000 $359,142,000 $1,045,548,000 $13,283,000 $148,131,000
2019 $78,042,336,000 $1,196,419,000 $1,029,824,000 $529,207,000 $-13,199,000 $876,721,000 $86,166,000
2018 $68,262,453,000 $1,109,280,000 $977,632,000 $399,933,000 $585,470,000 $2,004,724,000 $69,592,000
2017 $62,941,289,000 $879,888,000 $735,249,000 $446,553,000 $-246,839,000 $1,047,684,000 $-232,482,000
2016 $77,256,266,000 $784,667,000 $650,399,000 $374,060,000 $556,630,000 $505,487,000 $246,707,000