Recent Annual Filings for RYN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,474,419,000 $1,262,997,000 $860,531,000 $329,373,000 $261,592,000 $-479,360,000 $134,826,000
2023 $3,647,585,000 $1,056,933,000 $845,649,000 $167,615,000 $298,375,000 $-328,874,000 $92,967,000
2022 $3,789,371,000 $909,072,000 $743,250,000 $177,364,000 $269,190,000 $-4,589,000 $-253,732,000
2021 $3,636,356,000 $1,109,597,000 $839,822,000 $261,182,000 $325,110,000 $-16,311,000 $281,657,000
2020 $3,728,733,000 $859,154,000 $784,766,000 $-3,924,000 $204,174,000 $27,002,000 $17,514,000
2019 $2,860,996,000 $711,556,000 $604,529,000 $36,809,000 $214,253,000 $-79,649,000 $-86,486,000
2018 $2,780,666,000 $816,138,000 $646,070,000 $97,970,000 $310,096,000 $-193,714,000 $-15,902,000
2017 $2,858,481,000 $819,596,000 $604,105,000 $176,178,000 $256,284,000 $-6,872,000 $26,744,000