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ARMOUR Residential REIT ARR Cash Flow Statement

FY'25FY'24FY'23FY'22
$322.69M+2,342%-$14.39M
$2.13M-34.4%$3.24M+1.2%$3.2M-13.4%$3.7M-22.5%
-$2.51M
$159K
$32.91M+460%$5.87M$19.34M
$261.46M+84.5%$141.74M+14.2%$124.09M
$9.6B+30.8%$7.34B-28.7%$10.29B-10.2%$11.46B+805%
$1.63B-64.4%$4.59B-27.0%$6.29B-0.9%$6.35B+548%
-$7.28B-332%-$1.69B
$271.42M+79.8%$150.95M-30.2%$216.19M+51.8%$142.42M+47.4%
$19.95M$9.94M+29.6%$7.66M
$874.2M+229%$265.66M-41.0%$450.15M-5.3%$475.54M+44.6%
$19.27M
$7.3B+457%$1.31B
-$121.87M
$735.44M+7.2%$686.18M+13.0%$607.03M+343%$136.97M+543%
-$414.43M-$103.46M-112%$829.35M
$32.91M+460%$5.87M$19.34M
$35.27M+136%-$99.06M
-$3.8M-205%-$1.25M$3.42M
$19.27M
$159K
$2.27B-61.1%$5.83B+110%$2.77B+41.7%$1.96B
$1.7B+61.1%$1.05B+31.2%$803.16M+40.0%$573.61M-34.1%
$1.63B-64.4%$4.59B-27.0%$6.29B-0.9%$6.35B+548%
$2.77B-51.3%$5.68B+81.9%$3.12B+149%$1.25B
$150.28B+44.2%$104.19B-10.8%$116.87B+52.0%$76.87B+176%
$157.01B+49.0%$105.4B-11.9%$119.7B+49.5%$80.09B+194%
$514.84M+248%-$348.65M-562%-$52.67M
$36K$0$0
$302.09M+192%$103.51M-39.6%$171.51M

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Questions, answered.

How much cash does ARMOUR Residential REIT generate?
ARMOUR Residential REIT (ARR) generated $273.6M in operating cash flow over the trailing twelve months.
Where does ARMOUR Residential REIT's cash flow data come from?
Every line is extracted from ARMOUR Residential REIT's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.