Recent Annual Filings for RYAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,649,918,000 $2,515,710,000 $2,243,156,000 $89,793,000 $514,868,000 $1,166,857,000 $-74,013,000
2023 $7,247,209,000 $2,077,549,000 $1,839,624,000 $58,078,000 $477,203,000 $-12,610,000 $-11,637,000
2022 $6,383,743,000 $1,725,193,000 $1,546,001,000 $65,373,000 $335,514,000 $314,756,000 $627,850,000
2021 $5,458,708,000 $1,432,771,000 $1,371,207,000 $64,885,000 $273,493,000 $429,284,000 $243,957,000