Recent Annual Filings for RRBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,149,594,000 $137,230,000 $94,849,000 $34,482,000 $38,284,000 $-15,574,000 $-36,451,000
2023 $3,128,810,000 $118,568,000 $75,624,000 $45,551,000 $40,111,000 $-4,336,000 $27,034,000
2022 $3,082,686,000 $94,375,000 $49,394,000 $-30,477,000 $45,867,000 $-113,641,000 $-506,472,000
2021 $3,224,710,000 $77,339,000 $37,279,000 $22,258,000 $62,264,000 $560,077,000 $337,663,000
2020 $2,642,634,000 $77,378,000 $42,910,000 $35,090,000 $12,798,000 $617,367,000 $313,909,000
2019 $1,988,225,000 $73,725,000 $43,261,000 $32,306,000 $26,443,000 $89,762,000 $-18,614,000