Recent Annual Filings for RBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,807,000,000 $4,284,200,000 $3,526,800,000 $332,000,000 $932,000,000 $-645,500,000 $-39,100,000
2023 $12,037,400,000 $3,679,600,000 $3,213,200,000 $247,100,000 $544,000,000 $2,676,200,000 $122,000,000
2022 $2,863,727,000 $1,733,808,000 $1,450,096,000 $290,604,000 $463,055,000 $-1,258,122,000 $-736,506,000
2021 $3,592,914,000 $1,416,971,000 $1,176,824,000 $130,142,000 $317,586,000 $960,908,000 $1,055,557,000
2020 $2,351,529,000 $1,377,260,000 $1,114,100,000 $195,219,000 $257,872,000 $-111,461,000 $-113,361,000
2019 $2,229,430,000 $1,318,641,000 $1,095,439,000 $146,304,000 $332,793,000 $-187,218,000 $114,689,000
2018 $2,052,396,000 $1,170,026,000 $984,837,000 $107,714,000 $144,280,000 $-134,107,000 $-25,549,000
2017 $2,017,312,000 $531,504,000 $424,050,000 $99,976,000 $146,266,000 $120,565,000 $-426,973,000