Recent Annual Filings for RBCAA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,846,667,000 $384,804,000 $257,101,000 $107,541,000 $148,999,000 $147,611,000 $115,584,000
2023 $6,594,891,000 $360,235,000 $247,022,000 $101,945,000 $108,531,000 $411,298,000 $2,878,000
2022 $5,835,543,000 $326,501,000 $209,656,000 $57,253,000 $154,789,000 $-343,562,000 $-443,282,000
2021 $6,093,632,000 $307,453,000 $197,112,000 $80,154,000 $99,431,000 $-134,600,000 $271,384,000
2020 $6,168,325,000 $319,368,000 $216,735,000 $88,657,000 $68,434,000 $446,868,000 $100,284,000
2019 $5,620,319,000 $311,134,000 $197,941,000 $95,794,000 $97,245,000 $363,850,000 $33,829,000
2018 $5,240,404,000 $289,483,000 $195,220,000 $76,439,000 $119,199,000 $54,445,000 $52,123,000
2017 $5,085,362,000 $218,778,000 $140,392,000 $45,361,000 $77,777,000 $219,378,000 $10,042,000