Recent Annual Filings for RRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,347,675,000 $2,417,084,000 $2,166,479,000 $266,304,000 $944,514,000 $-228,165,000 $92,516,000
2023 $7,203,885,000 $3,374,418,000 $2,274,075,000 $871,322,000 $977,892,000 $-164,420,000 $211,767,000
2022 $6,625,562,000 $4,146,803,000 $2,732,973,000 $1,183,987,000 $1,864,744,000 $-1,589,127,000 $-214,215,000
2021 $6,660,507,000 $2,930,223,000 $2,528,188,000 $412,107,000 $792,948,000 $-161,105,000 $213,964,000
2020 $6,136,936,000 $1,968,697,000 $2,706,026,000 $-711,468,000 $268,680,000 $-84,686,000 $-88,000
2019 $6,612,403,000 $2,827,615,000 $5,044,203,000 $-1,716,427,000 $681,843,000 $-721,320,000 $1,000
2018 $9,708,154,000 $3,282,645,000 $5,059,615,000 $-1,745,807,000 $990,690,000 $-295,159,000 $97,000
2017 $11,728,841,000 $2,611,030,000 $2,528,910,000 $331,814,000 $816,254,000 $322,937,000 $134,000