Recent Annual Filings for RMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,872,394,000 $4,685,297,000 $3,420,499,000 $1,041,950,000 $1,401,260,000 $-1,119,287,000 $10,470,000
2023 $6,751,708,000 $4,222,993,000 $3,121,329,000 $937,775,000 $693,299,000 $422,874,000 $-45,819,000
2022 $5,095,853,000 $3,578,127,000 $2,617,644,000 $660,177,000 $351,147,000 $-128,363,000 $-21,568,000
2021 $4,728,125,000 $3,196,825,000 $2,313,163,000 $565,000,000 $736,718,000 $-764,632,000 $-167,878,000
2020 $4,587,376,000 $2,957,013,000 $2,223,925,000 $590,701,000 $802,255,000 $-317,286,000 $316,028,000
2019 $4,107,682,000 $2,606,572,000 $2,087,725,000 $375,911,000 $459,051,000 $580,643,000 $-41,573,000
2018 $3,063,923,000 $2,340,196,000 $1,818,884,000 $280,319,000 $505,026,000 $-1,026,694,000 $-633,234,000
2017 $3,468,487,000 $2,066,737,000 $1,647,994,000 $375,883,000 $414,053,000 $-262,867,000 $90,501,000