Recent Annual Filings for RS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,021,800,000 $13,835,000,000 $12,675,000,000 $839,500,000 $1,429,800,000 $-1,376,400,000 $-750,300,000
2023 $10,480,300,000 $14,805,900,000 $13,066,400,000 $1,349,700,000 $1,671,300,000 $-1,282,300,000 $-94,900,000
2022 $10,329,900,000 $17,025,000,000 $14,518,100,000 $1,826,800,000 $2,118,600,000 $-892,600,000 $877,500,000
2021 $9,536,000,000 $14,093,300,000 $12,144,400,000 $1,426,400,000 $799,400,000 $-528,900,000 $-383,000,000
2020 $8,106,800,000 $8,811,900,000 $8,246,100,000 $399,600,000 $1,173,000,000 $-483,000,000 $509,200,000
2019 $8,131,100,000 $10,973,800,000 $9,960,300,000 $703,700,000 $1,301,500,000 $-840,600,000 $46,100,000
2018 $8,044,900,000 $11,534,500,000 $10,597,000,000 $616,200,000 $664,600,000 $-403,900,000 $-26,200,000
2017 $7,751,000,000 $9,721,000,000 $9,058,600,000 $654,100,000 $399,000,000 $-198,100,000 $31,600,000