Recent Annual Filings for RPRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,381,851,000 $2,354,554,000 $862,404,000 $1,700,088,000 $2,987,802,000 $-2,148,754,000 $-1,233,741,000
2022 $16,813,466,000 $2,237,215,000 $1,930,150,000 $200,632,000 $2,143,980,000 $-944,856,000 $169,703,000
2021 $17,515,865,000 $2,289,463,000 $858,748,000 $1,201,905,000 $2,017,536,000 $385,112,000 $532,368,000
2020 $16,020,286,000 $2,122,353,000 $526,954,000 $1,041,675,000 $2,034,629,000 $1,487,172,000 $762,481,000
2016 $8,757,000 $47,000 $17,320,000 $-17,273,000 $-15,581,000 $2,876,000 $-12,705,000
2015 $21,485,000 $11,000 $29,203,000 $-29,192,000 $-25,329,000 $102,000 $-25,227,000
2014 $46,941,000 $9,000 $32,544,000 $-32,535,000 $-29,334,000 $147,000 $-29,187,000
2013 $78,977,000 $9,000 $27,730,000 $-27,721,000 $-24,448,000 $76,954,000 $51,595,000