Recent Annual Filings for RBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $4,685,200,000 $1,636,300,000 $1,324,400,000 $244,100,000 $293,600,000 $-270,400,000 $-26,700,000
2024 $4,678,600,000 $1,560,300,000 $1,298,500,000 $214,700,000 $274,700,000 $-223,500,000 $-1,900,000
2023 $4,690,400,000 $1,469,300,000 $1,259,600,000 $168,400,000 $220,600,000 $-322,800,000 $-117,500,000
2020 $4,589,000,000 $2,907,000,000 $528,600,000 $269,900,000 $435,400,000 $-147,600,000 $279,900,000
2019 $4,430,700,000 $3,238,000,000 $509,600,000 $255,600,000 $408,500,000 $-397,400,000 $82,800,000
2018 $4,623,800,000 $3,645,600,000 $617,600,000 $149,600,000 $362,700,000 $-17,700,000 $109,000,000
2017 $4,388,200,000 $3,360,300,000 $3,083,100,000 $374,300,000 $291,900,000 $-390,600,000 $-144,900,000
2016 $4,358,500,000 $3,224,500,000 $2,958,100,000 $146,900,000 $439,600,000 $-376,800,000 $31,600,000