Recent Annual Filings for RLJ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,883,879,000 $1,369,440,000 $1,299,650,000 $59,317,000 $285,419,000 $-131,691,000 $-122,002,000
2023 $4,919,295,000 $1,325,577,000 $1,247,704,000 $58,688,000 $315,142,000 $-161,452,000 $18,941,000
2022 $4,978,225,000 $1,193,662,000 $1,149,929,000 $99,919,000 $256,519,000 $-298,487,000 $-177,483,000
2021 $5,148,976,000 $785,664,000 $1,095,564,000 $-259,151,000 $42,961,000 $-239,255,000 $-220,921,000
2020 $5,617,172,000 $473,087,000 $829,919,000 $-458,338,000 $-168,708,000 $243,030,000 $7,630,000
2019 $5,851,400,000 $1,566,192,000 $1,440,564,000 $93,670,000 $397,325,000 $-385,419,000 $542,318,000
2018 $6,005,097,000 $1,761,224,000 $1,561,569,000 $198,211,000 $394,834,000 $-946,182,000 $-274,234,000
2017 $6,794,805,000 $1,356,261,000 $1,247,517,000 $89,487,000 $260,595,000 $-190,377,000 $135,198,000