Recent Annual Filings for REVG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,213,000,000 $2,380,200,000 $2,039,800,000 $257,600,000 $53,400,000 $-398,600,000 $3,300,000
2023 $1,410,400,000 $2,638,000,000 $2,579,800,000 $45,200,000 $126,500,000 $-95,700,000 $900,000
2022 $1,344,600,000 $2,331,600,000 $2,311,800,000 $15,600,000 $91,600,000 $-69,700,000 $7,100,000
2021 $1,238,300,000 $2,380,800,000 $2,325,100,000 $44,700,000 $158,300,000 $-146,200,000 $1,900,000
2020 $1,312,300,000 $2,277,600,000 $2,323,700,000 $-31,600,000 $55,700,000 $-49,300,000 $8,100,000
2019 $1,347,100,000 $2,403,700,000 $2,420,300,000 $-12,600,000 $52,500,000 $-61,300,000 $-8,600,000
2018 $1,408,100,000 $2,381,300,000 $2,379,100,000 $11,600,000 $-19,200,000 $132,900,000 $-5,900,000
2017 $1,254,432,000 $2,267,783,000 $2,217,762,000 $31,367,000 $33,175,000 $202,944,000 $7,017,000