Recent Annual Filings for RC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,441,217,000 $945,814,000 $587,395,000 $339,852,000 $51,130,000 $-1,085,087,000 $-14,513,000
2022 $11,620,977,000 $671,170,000 $438,274,000 $199,414,000 $359,148,000 $1,170,979,000 $-26,301,000
2021 $9,534,031,000 $403,496,000 $214,439,000 $164,460,000 $-34,441,000 $1,875,692,000 $122,846,000
2020 $5,372,095,000 $258,636,000 $204,183,000 $42,217,000 $68,893,000 $63,051,000 $72,502,000
2019 $4,977,018,000 $229,916,000 $165,412,000 $69,621,000 $-52,397,000 $1,298,199,000 $33,010,000
2018 $3,036,843,000 $169,499,000 $106,656,000 $60,503,000 $140,297,000 $444,478,000 $4,016,000