Recent Annual Filings for RGLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,392,130,000 $719,395,000 $289,496,000 $332,479,000 $529,503,000 $-360,492,000 $91,331,000
2023 $3,361,057,000 $605,717,000 $302,515,000 $240,132,000 $415,792,000 $-427,382,000 $-14,419,000
2022 $3,534,522,000 $603,206,000 $319,497,000 $239,942,000 $417,345,000 $480,566,000 $-24,965,000
2021 $2,651,605,000 $615,856,000 $312,160,000 $302,776,000 $407,151,000 $-383,626,000 $-93,212,000
2020 $2,766,287,000 $498,819,000 $299,874,000 $196,250,000 $340,752,000 $11,760,000 $199,653,000
2019 $2,544,151,000 $423,056,000 $282,349,000 $89,079,000 $253,166,000 $-216,846,000 $30,725,000
2018 $2,682,016,000 $459,042,000 $533,577,000 $-121,431,000 $328,824,000 $-315,331,000 $2,903,000
2017 $3,090,640,000 $440,814,000 $294,872,000 $93,304,000 $265,878,000 $-96,548,000 $-30,786,000