Recent Annual Filings for RILY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,074,378,000 $1,643,600,000 $1,498,947,000 $-102,932,000 $24,502,000 $-365,923,000 $-37,087,000
2022 $6,111,202,000 $1,080,670,000 $1,011,222,000 $-157,984,000 $6,653,000 $17,637,000 $-8,934,000
2021 $5,851,919,000 $1,740,561,000 $580,000 $450,545,000 $50,894,000 $1,081,045,000 $175,023,000
2020 $2,662,730,000 $902,721,000 $623,264,000 $205,182,000 $57,689,000 $69,544,000 $98,000
2019 $2,318,178,000 $652,112,000 $535,520,000 $82,121,000 $-30,392,000 $250,176,000 $-75,539,000
2018 $1,957,710,000 $422,991,000 $401,688,000 $14,773,000 $-104,814,000 $284,859,000 $27,744,000
2017 $1,386,904,000 $322,176,000 $301,731,000 $13,113,000 $-81,790,000 $134,094,000 $20,718,000
2016 $264,618,000 $190,351,000 $143,304,000 $32,072,000 $80,280,000 $40,404,000 $82,093,000