Recent Annual Filings for RXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,054,100,000 $2,737,100,000 $3,618,600,000 $-894,400,000 $39,900,000 $-3,000,000 $-52,700,000
2023 $4,096,200,000 $2,957,100,000 $3,811,500,000 $-848,900,000 $374,900,000 $-312,800,000 $-31,700,000
2022 $5,456,700,000 $3,122,300,000 $4,020,000,000 $-740,300,000 $246,700,000 $-187,000,000 $-44,000,000
2021 $6,328,700,000 $3,009,500,000 $3,258,600,000 $-192,800,000 $370,800,000 $-132,200,000 $167,300,000
2020 $6,377,800,000 $2,707,100,000 $3,019,100,000 $-276,400,000 $116,700,000 $29,900,000 $21,000,000