Recent Annual Filings for RH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $4,554,689,000 $3,180,753,000 $3,103,542,000 $59,263,000 $17,095,000 $130,586,000 $-92,728,000
2024 $4,143,897,000 $3,029,126,000 $2,873,304,000 $128,026,000 $202,214,000 $-1,283,031,000 $-1,388,248,000
2023 $5,309,289,000 $3,590,477,000 $3,153,193,000 $527,649,000 $403,687,000 $-902,477,000 $-669,858,000
2022 $5,540,470,000 $3,758,820,000 $2,936,716,000 $684,571,000 $662,114,000 $1,607,127,000 $2,074,793,000
2021 $2,898,313,000 $2,848,626,000 $2,472,213,000 $277,140,000 $500,770,000 $-243,914,000 $59,413,000
2020 $2,445,694,000 $2,647,437,000 $2,378,255,000 $219,949,000 $339,188,000 $-174,804,000 $41,855,000
2019 $1,806,034,000 $2,505,653,000 $2,324,500,000 $148,477,000 $300,556,000 $-183,201,000 $-19,511,000
2018 $1,732,866,000 $2,440,174,000 $2,410,023,000 $3,701,000 $555,102,000 $-688,413,000 $-69,116,000