Recent Annual Filings for RUN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $20,450,237,000 $2,259,813,000 $4,238,456,000 $-1,616,930,000 $-820,740,000 $3,468,698,000 $34,815,000
2022 $19,268,805,000 $2,321,422,000 $2,983,614,000 $313,536,000 $-848,793,000 $3,037,451,000 $102,592,000
2021 $16,483,252,000 $1,609,954,000 $2,276,141,000 $-45,718,000 $-817,186,000 $2,645,594,000 $142,223,000
2020 $14,382,943,000 $922,191,000 $1,387,299,000 $-227,396,000 $-317,972,000 $1,160,740,000 $344,979,000
2019 $5,806,341,000 $858,578,000 $1,074,318,000 $-22,554,000 $-204,487,000 $1,106,572,000 $58,830,000
2018 $4,749,787,000 $759,981,000 $881,862,000 $27,646,000 $-62,461,000 $936,386,000 $62,609,000
2017 $3,927,874,000 $529,699,000 $711,903,000 $119,975,000 $-61,011,000 $869,499,000 $-3,839,000
2016 $3,572,818,000 $453,898,000 $668,802,000 $93,045,000 $-150,580,000 $898,192,000 $2,500,000