Recent Annual Filings for ROP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,334,700,000 $7,039,200,000 $5,072,000,000 $1,505,600,000 $2,393,200,000 $1,069,500,000 $-26,100,000
2023 $28,167,500,000 $6,177,800,000 $4,434,700,000 $1,448,400,000 $2,035,100,000 $-499,500,000 $-578,500,000
2022 $26,980,800,000 $5,371,800,000 $4,089,800,000 $4,540,800,000 $734,600,000 $-1,465,300,000 $441,300,000
2021 $23,713,900,000 $5,777,800,000 $4,506,800,000 $1,116,500,000 $2,011,900,000 $-1,813,500,000 $43,200,000
2020 $24,024,800,000 $5,527,100,000 $4,317,800,000 $1,015,500,000 $1,525,100,000 $4,136,900,000 $-401,400,000
2019 $18,108,900,000 $5,366,800,000 $3,139,400,000 $1,798,400,000 $1,461,800,000 $177,000,000 $345,300,000
2018 $15,249,500,000 $5,191,200,000 $3,992,800,000 $887,300,000 $1,430,100,000 $-388,100,000 $-306,900,000
2017 $14,316,413,000 $4,607,471,000 $3,572,748,000 $1,110,297,000 $1,234,482,000 $-1,170,017,000 $-85,873,000