Recent Annual Filings for RL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,602,600,000 $6,631,400,000 $5,854,000,000 $566,200,000 $1,069,700,000 $-665,600,000 $133,700,000
2023 $6,789,500,000 $6,443,600,000 $5,751,700,000 $507,000,000 $411,000,000 $-1,208,800,000 $-335,100,000
2022 $7,724,700,000 $6,218,500,000 $5,463,900,000 $540,600,000 $715,900,000 $-665,700,000 $-716,000,000
2021 $7,887,500,000 $4,400,800,000 $4,475,600,000 $-123,700,000 $380,900,000 $356,800,000 $958,200,000
2020 $7,279,900,000 $6,159,800,000 $5,833,400,000 $369,500,000 $754,600,000 $-438,200,000 $1,003,300,000
2019 $5,942,800,000 $6,313,000,000 $5,730,500,000 $426,000,000 $783,800,000 $-605,700,000 $-729,000,000
2018 $6,143,300,000 $6,182,300,000 $5,693,100,000 $262,700,000 $975,100,000 $-197,500,000 $643,700,000
2017 $5,652,000,000 $6,652,800,000 $6,757,700,000 $-116,200,000 $952,300,000 $-518,100,000 $212,000,000