REDWOOD TRUST INC (RWTP) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2008: $145.02M2009: $210.08M2010: $29.89M2011: $17.81M2012: -$563.35M2013: -$221.83M2014: -$1.79B2015: -$1.25B2017: -$1.71B2018: -$1.61B2019: -$1.17B2020: -$505.47M2021: -$5.69B2022: -$139.14M2023: -$2.02B2024: -$5.86B2025: -$10.09B-$10.09B
2008Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$10.09B-72.2%
2024-$5.86B-190.8%
2023-$2.02B-1348.8%
2022-$139.14M+97.6%
2021-$5.69B-1026.6%
2020-$505.47M+56.6%
2019-$1.17B+27.7%
2018-$1.61B+5.9%
2017-$1.71B
2015-$1.25B+30.2%
2014-$1.79B-707.4%
2013-$221.83M+60.6%
2012-$563.35M-3263.1%
2011$17.81M-40.4%
2010$29.89M-85.8%
2009$210.08M+44.9%
2008$145.02M