Recent Annual Filings for RNST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,034,868,000 $887,777,000 $642,812,000 $207,105,000 $129,426,000 $459,296,000 $290,681,000
2023 $17,360,535,000 $797,319,000 $620,132,000 $199,459,000 $148,553,000 $132,205,000 $225,359,000
2022 $16,988,176,000 $541,810,000 $330,502,000 $-32,526,000 $574,045,000 $167,639,000 $-1,301,973,000
2021 $16,810,311,000 $468,685,000 $245,858,000 $140,381,000 $142,659,000 $1,762,106,000 $1,244,762,000
2020 $14,929,612,000 $498,132,000 $394,641,000 $107,955,000 $82,242,000 $1,401,579,000 $218,273,000
2019 $13,400,618,000 $542,580,000 $326,893,000 $186,256,000 $163,623,000 $188,106,000 $-154,181,000
2018 $12,934,878,000 $461,854,000 $273,207,000 $139,535,000 $77,406,000 $708,833,000 $287,658,000
2017 $9,829,981,000 $374,750,000 $214,881,000 $99,627,000 $201,561,000 $-301,474,000 $-24,771,000