Recent Annual Filings for RHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,854,405,000 $5,795,837,000 $5,438,166,000 $219,086,000 $410,469,000 $-496,441,000 $-194,157,000
2023 $3,010,789,000 $6,392,517,000 $5,815,934,000 $422,143,000 $636,881,000 $-460,535,000 $73,114,000
2022 $2,964,488,000 $7,238,142,000 $6,341,187,000 $636,918,000 $683,750,000 $-509,183,000 $39,625,000
2021 $2,952,359,000 $6,461,444,000 $5,657,664,000 $580,736,000 $603,136,000 $-458,589,000 $44,575,000
2020 $2,557,424,000 $5,109,000,000 $4,687,118,000 $321,530,000 $596,528,000 $-315,325,000 $303,948,000
2019 $2,311,408,000 $6,074,432,000 $5,448,917,000 $450,556,000 $519,629,000 $-423,366,000 $-6,101,000
2018 $1,903,097,000 $5,800,271,000 $5,208,669,000 $414,672,000 $572,322,000 $-490,115,000 $-18,174,000
2017 $1,867,454,000 $5,266,789,000 $4,749,273,000 $314,593,000 $452,991,000 $-352,891,000 $34,552,000