Recent Annual Filings for RGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $510,914,000 $632,801,000 $602,972,000 $20,611,000 $21,919,000 $-20,709,000 $-7,344,000
2023 $531,999,000 $775,643,000 $703,025,000 $53,553,000 $81,636,000 $-71,914,000 $13,665,000
2022 $581,473,000 $805,018,000 $722,050,000 $58,084,000 $49,444,000 $-13,371,000 $33,112,000
2021 $520,644,000 $629,516,000 $606,832,000 $31,698,000 $39,943,000 $-59,461,000 $-23,361,000
2020 $529,181,000 $703,353,000 $668,125,000 $27,011,000 $49,523,000 $30,904,000 $53,655,000
2014 $17,103,000,000 $4,951,000,000 $4,968,000,000 $-142,000,000 $719,000,000 $1,455,000,000 $5,000,000
2013 $8,782,000,000 $2,521,000,000 $2,466,000,000 $27,000,000 $436,000,000 $923,000,000 $-34,000,000
2012 $6,157,000,000 $1,339,000,000 $1,303,764,000 $53,862,000