Recent Annual Filings for RNR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $49,007,105,000 $9,134,608,000 $6,024,548,000 $3,621,378,000 $1,911,634,000 $2,588,639,000 $683,179,000
2022 $36,552,878,000 $5,060,412,000 $6,279,247,000 $-1,164,369,000 $1,603,683,000 $725,342,000 $-664,680,000
2021 $33,959,502,000 $5,277,709,000 $5,391,817,000 $-101,707,000 $1,234,815,000 $-302,461,000 $122,206,000
2020 $30,820,580,000 $5,172,316,000 $4,176,396,000 $982,355,000 $1,992,735,000 $665,214,000 $357,745,000
2019 $26,330,094,000 $4,201,954,000 $3,234,472,000 $949,761,000 $2,137,195,000 $1,120,117,000 $271,146,000
2018 $18,676,196,000 $2,074,941,000 $1,812,326,000 $267,260,000 $1,221,701,000 $1,066,340,000 $-253,670,000
2017 $15,226,131,000 $2,103,679,000 $2,431,863,000 $-355,580,000 $1,045,787,000 $28,860,000 $940,435,000
2016 $12,352,082,000 $1,727,837,000 $1,097,449,000 $629,073,000 $469,829,000 $-386,388,000 $-85,728,000