Recent Annual Filings for RCUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,150,000,000 $258,000,000 $540,000,000 $-283,000,000 $-170,000,000 $277,000,000 $23,000,000
2023 $1,095,000,000 $117,000,000 $418,000,000 $-300,000,000 $-306,000,000 $33,000,000 $-79,000,000
2022 $1,345,000,000 $112,000,000 $378,000,000 $-273,000,000 $438,000,000 $33,000,000 $58,000,000
2021 $1,591,898,000 $382,882,000 $328,237,000 $51,525,000 $-256,171,000 $237,340,000 $-22,699,000
2020 $772,292,000 $77,517,000 $200,375,000 $-122,878,000 $111,170,000 $438,675,000 $115,478,000
2019 $203,110,000 $15,000,000 $99,710,000 $-84,539,000 $-73,462,000 $1,123,000 $-13,127,000
2018 $274,925,000 $8,353,000 $57,947,000 $-49,659,000 $-42,996,000 $129,074,000 $-27,362,000