Recent Annual Filings for RKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $19,231,740,000 $3,799,269,000 $4,202,166,000 $-390,271,000 $110,329,000 $-623,558,000 $347,733,000
2022 $20,082,212,000 $5,838,493,000 $5,096,582,000 $699,499,000 $10,823,495,000 $-12,823,786,000 $-1,422,498,000
2021 $32,774,895,000 $12,914,466,000 $6,729,565,000 $6,066,498,000 $7,743,928,000 $-6,921,467,000 $157,494,000
2020 $37,534,602,000 $15,735,182,000 $6,203,525,000 $9,405,194,000 $-1,677,370,000 $1,757,660,000 $598,378,000
2014 $11,039,700,000 $10,102,300,000 $9,332,000,000 $288,000,000 $1,151,800,000 $-188,100,000 $-3,800,000
2013 $10,733,400,000 $9,545,400,000 $8,834,700,000 $934,000,000 $1,032,500,000 $-629,200,000 $-800,000
2012 $10,687,100,000 $9,207,600,000 $8,818,500,000 $50,000,000 $656,700,000 $-118,600,000 $-4,500,000
2011 $10,566,000,000 $5,399,600,000 $5,184,100,000 $146,000,000 $461,700,000 $1,051,600,000 $25,800,000