Recent Annual Filings for RDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,593,933,000 $1,240,588,000 $473,101,000 $729,067,000 $529,434,000 $-265,087,000 $-36,495,000
2022 $7,063,729,000 $1,190,726,000 $237,947,000 $166,042,000 $388,298,000 $-479,183,000 $-96,060,000
2021 $7,839,185,000 $1,329,932,000 $565,100,000 $457,039,000 $557,112,000 $-496,776,000 $58,474,000
2020 $7,948,021,000 $1,438,617,000 $959,176,000 $546,863,000 $658,434,000 $222,618,000 $-2,128,000
2019 $6,808,313,000 $1,526,955,000 $677,962,000 $843,717,000 $694,431,000 $-403,106,000 $-10,728,000
2018 $6,314,652,000 $1,273,006,000 $588,820,000 $519,058,000 $677,786,000 $22,386,000 $10,758,000
2017 $5,900,881,000 $1,221,631,000 $874,894,000 $156,568,000 $360,575,000 $-125,084,000 $34,430,000
2016 $5,863,174,000 $1,238,452,000 $754,766,000 $314,335,000 $381,724,000 $-203,269,000 $1,916,000