Recent Annual Filings for ROL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,819,695,000 $3,388,708,000 $2,731,484,000 $449,500,000 $607,653,000 $-440,708,000 $-9,287,000
2023 $2,595,460,000 $3,073,278,000 $2,490,052,000 $439,764,000 $528,366,000 $-149,420,000 $6,051,000
2022 $2,122,028,000 $2,695,823,000 $2,202,435,000 $353,448,000 $465,930,000 $-336,017,000 $-4,228,000
2021 $1,980,870,000 $2,424,300,000 $1,984,311,000 $345,173,000 $401,805,000 $-290,159,000 $6,824,000
2020 $1,845,900,000 $2,161,220,000 $1,806,500,000 $271,036,000 $435,785,000 $-281,273,000 $4,201,000
2019 $1,744,376,000 $2,015,477,000 $1,754,317,000 $253,316,000 $309,188,000 $127,655,000 $-21,209,000
2018 $1,094,124,000 $1,821,565,000 $1,510,832,000 $206,541,000 $286,272,000 $-162,283,000 $8,435,000
2017 $1,033,663,000 $1,673,957,000 $1,379,455,000 $203,243,000 $235,370,000 $-130,263,000 $-22,402,000