Recent Annual Filings for RIG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,371,000,000 $3,524,000,000 $3,152,000,000 $-473,000,000 $447,000,000 $-350,000,000 $-54,000,000
2023 $20,254,000,000 $2,832,000,000 $2,917,000,000 $-946,000,000 $164,000,000 $263,000,000 $4,000,000
2022 $20,436,000,000 $2,575,000,000 $2,596,000,000 $-722,000,000 $448,000,000 $-112,000,000 $-421,000,000
2021 $20,681,000,000 $2,556,000,000 $2,606,000,000 $-412,000,000 $575,000,000 $-490,000,000 $-148,000,000
2020 $21,804,000,000 $3,152,000,000 $2,964,000,000 $-507,000,000 $398,000,000 $-930,000,000 $-789,000,000
2019 $24,105,000,000 $3,088,000,000 $3,188,000,000 $-1,278,000,000 $340,000,000 $-312,000,000 $-240,000,000
2018 $25,665,000,000 $3,018,000,000 $2,805,000,000 $-1,992,000,000 $558,000,000 $-147,000,000 $-386,000,000
2017 $22,410,000,000 $2,973,000,000 $2,376,000,000 $-3,104,000,000 $1,144,000,000 $-1,090,000,000 $-533,000,000