Recent Annual Filings for R

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,778,000,000 $11,783,000,000 $11,165,000,000 $547,000,000 $2,353,000,000 $256,000,000 $-63,000,000
2022 $14,395,000,000 $12,011,000,000 $10,795,000,000 $760,000,000 $2,310,000,000 $-861,000,000 $-405,000,000
2021 $13,834,323,000 $9,662,953,000 $8,970,313,000 $647,005,000 $2,175,307,000 $-203,708,000 $521,238,000
2020 $12,931,954,000 $8,420,091,000 $8,550,451,000 $-102,964,000 $2,181,303,000 $-1,507,178,000 $78,260,000
2019 $14,475,334,000 $8,925,801,000 $8,968,072,000 $50,733,000 $2,140,539,000 $1,084,139,000 $3,213,000
2018 $13,051,084,000 $8,409,215,000 $8,035,354,000 $170,047,000 $1,635,095,000 $1,093,446,000 $-13,257,000
2017 $11,452,231,000 $7,329,599,000 $7,015,813,000 $917,089,000 $1,547,986,000 $-155,115,000 $19,547,000
2016 $10,902,454,000 $6,786,984,000 $6,380,603,000 $141,180,000 $1,601,022,000 $-185,922,000 $-2,144,000