Recent Annual Filings for UWMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,671,116,000 $2,163,691,000 $1,827,734,000 $329,375,000 $-6,241,495,000 $3,575,274,000 $9,871,000
2023 $11,871,854,000 $1,311,327,000 $1,387,620,000 $-69,782,000 $165,244,000 $-2,202,636,000 $-207,430,000
2022 $13,600,625,000 $2,372,626,000 $1,437,957,000 $931,858,000 $8,268,182,000 $-9,584,718,000 $-26,190,000
2021 $22,528,358,000 $2,970,293,000 $1,392,052,000 $1,568,400,000 $-9,956,963,000 $9,264,463,000 $-492,749,000