Recent Annual Filings for RCL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $35,131,000,000 $13,900,000,000 $11,022,000,000 $1,674,000,000 $4,477,000,000 $-1,993,000,000 $-1,438,000,000
2022 $33,776,361,000 $8,840,540,000 $10,996,502,000 $-2,088,291,000 $481,857,000 $1,740,973,000 $-766,765,000
2021 $32,258,355,000 $1,532,133,000 $6,792,632,000 $-5,232,043,000 $-1,877,815,000 $3,040,577,000 $-982,704,000
2020 $32,465,187,000 $2,208,805,000 $7,983,935,000 $-5,716,758,000 $-3,731,653,000 $9,349,788,000 $3,440,736,000
2019 $30,320,284,000 $10,950,661,000 $9,043,061,000 $1,737,621,000 $3,716,366,000 $-670,371,000 $-44,114,000
2018 $27,698,270,000 $9,493,849,000 $7,678,057,000 $1,522,323,000 $3,479,139,000 $1,198,073,000 $167,740,000
2017 $22,296,317,000 $8,777,845,000 $7,033,789,000 $2,207,352,000 $2,874,566,000 $-2,675,796,000 $-12,491,000
2016 $22,310,324,000 $8,496,401,000 $7,019,196,000 $1,695,337,000 $2,516,690,000 $243,809,000 $11,038,000