Recent Annual Filings for RPM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,586,543,000 $7,335,277,000 $6,547,440,000 $657,106,000 $1,122,305,000 $-890,034,000 $25,831,000
2023 $6,782,004,000 $7,256,414,000 $6,607,032,000 $412,117,000 $577,105,000 $-301,156,000 $26,245,000
2022 $6,707,706,000 $6,707,728,000 $6,100,929,000 $469,907,000 $178,731,000 $57,390,000 $-23,426,000
2021 $6,252,969,000 $6,106,288,000 $5,437,850,000 $706,245,000 $766,156,000 $-459,619,000 $-19,851,000
2020 $5,630,954,000 $5,506,994,000 $5,099,230,000 $165,194,000 $549,919,000 $-316,870,000 $23,436,000
2019 $5,441,355,000 $5,564,551,000 $5,224,706,000 $149,173,000 $292,941,000 $-53,842,000 $-21,254,000
2018 $5,271,822,000 $5,321,643,000 $4,904,595,000 $354,063,000 $390,383,000 $-239,376,000 $-106,075,000
2017 $5,090,449,000 $4,958,175,000 $4,713,842,000 $212,688,000 $386,127,000 $35,971,000 $85,345,000