Recent Annual Filings for RUSHB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,617,547,000 $7,804,746,000 $7,406,931,000 $297,840,000 $619,550,000 $-129,321,000 $44,652,000
2023 $4,364,241,000 $7,925,024,000 $7,462,963,000 $350,028,000 $295,713,000 $73,962,000 $-17,355,000
2022 $3,821,066,000 $7,101,670,000 $6,592,343,000 $392,085,000 $294,400,000 $-690,000 $52,780,000
2021 $3,119,977,000 $5,126,142,000 $4,812,459,000 $241,333,000 $422,346,000 $-153,343,000 $-163,902,000
2020 $2,985,393,000 $4,735,940,000 $4,584,217,000 $115,419,000 $762,982,000 $-505,097,000 $130,428,000
2019 $3,407,329,000 $5,809,847,000 $5,620,324,000 $141,920,000 $421,272,000 $-50,922,000 $49,894,000
2018 $3,201,350,000 $5,506,190,000 $5,323,021,000 $139,062,000 $215,364,000 $19,064,000 $7,185,000
2017 $2,890,139,000 $4,713,882,000 $4,577,483,000 $172,415,000 $152,737,000 $96,341,000 $42,515,000