Recent Annual Filings for RSG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,402,000,000 $18,418,000,000 $15,986,000,000 $2,030,000,000 $3,936,000,000 $-1,398,000,000 $-25,000,000
2023 $31,410,100,000 $17,278,700,000 $15,087,200,000 $1,731,400,000 $3,617,800,000 $61,900,000 $13,200,000
2022 $29,052,900,000 $15,645,100,000 $13,813,600,000 $1,490,100,000 $3,190,000,000 $1,344,200,000 $108,700,000
2021 $24,955,000,000 $13,321,800,000 $11,746,700,000 $1,290,100,000 $2,786,700,000 $-329,200,000 $-8,600,000
2020 $23,434,000,000 $12,031,700,000 $10,889,000,000 $955,000,000 $2,471,600,000 $-612,000,000 $-63,200,000
2019 $22,683,800,000 $12,193,000,000 $10,897,200,000 $1,042,100,000 $2,352,100,000 $-589,000,000 $44,100,000
2018 $21,617,000,000 $11,891,900,000 $10,571,000,000 $1,045,800,000 $2,242,800,000 $-1,059,500,000 $-45,800,000
2017 $21,147,000,000 $10,041,500,000 $8,759,400,000 $1,287,400,000 $1,910,700,000 $-511,800,000 $15,500,000