Recent Annual Filings for RYI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,439,500,000 $4,598,700,000 $4,606,100,000 $-21,200,000 $204,900,000 $-86,800,000 $-24,600,000
2023 $2,569,600,000 $5,108,700,000 $4,915,000,000 $150,800,000 $365,100,000 $-88,300,000 $14,700,000
2022 $2,334,300,000 $6,323,600,000 $5,800,700,000 $412,200,000 $501,200,000 $-350,100,000 $-8,900,000
2021 $2,365,600,000 $5,675,300,000 $5,286,200,000 $402,200,000 $35,000,000 $-137,900,000 $-8,500,000
2020 $1,802,100,000 $3,466,600,000 $3,556,700,000 $-35,200,000 $277,900,000 $-250,200,000 $1,800,000
2019 $2,021,500,000 $4,501,600,000 $4,386,400,000 $96,600,000 $193,100,000 $-183,800,000 $35,700,000
2018 $2,086,300,000 $4,408,400,000 $4,291,700,000 $77,900,000 $57,400,000 $92,900,000 $-49,900,000
2017 $1,711,900,000 $3,364,700,000 $3,348,000,000 $39,700,000 $-2,100,000 $66,600,000 $-3,300,000