Recent Annual Filings for RPD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,652,034,000 $844,007,000 $802,552,000 $22,977,000 $171,670,000 $5,582,000 $127,974,000
2023 $1,505,348,000 $777,707,000 $927,485,000 $-146,505,000 $104,278,000 $79,597,000 $6,323,000
2022 $1,358,991,000 $685,083,000 $807,388,000 $-125,316,000 $78,204,000 $7,416,000 $42,787,000
2021 $1,296,011,000 $535,404,000 $671,317,000 $-147,600,000 $53,917,000 $264,133,000 $-8,600,000
2020 $913,122,000 $411,486,000 $508,349,000 $-98,608,000 $4,887,000 $200,925,000 $50,204,000
2019 $664,913,000 $326,947,000 $380,750,000 $-53,601,000 $-1,420,000 $8,788,000 $23,848,000
2018 $559,369,000 $244,091,000 $299,170,000 $-55,537,000 $6,066,000 $236,164,000 $47,803,000
2017 $284,136,000 $200,940,000 $248,646,000 $-45,490,000 $13,286,000 $7,268,000 $-1,586,000