Recent Annual Filings for TROW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,278,800,000 $6,460,500,000 $3,970,200,000 $1,853,900,000 $1,219,100,000 $-1,078,600,000 $269,100,000
2022 $11,643,300,000 $6,488,400,000 $4,540,200,000 $1,402,100,000 $2,359,400,000 $-2,076,900,000 $250,500,000
2021 $12,509,000,000 $7,671,900,000 $3,677,300,000 $3,068,800,000 $3,452,000,000 $-2,988,800,000 $-632,300,000
2020 $10,659,000,000 $6,206,700,000 $2,964,500,000 $2,578,200,000 $1,918,900,000 $-1,486,300,000 $398,200,000
2019 $9,330,400,000 $5,617,900,000 $2,690,600,000 $2,248,300,000 $1,522,700,000 $-832,700,000 $363,000,000
2018 $7,689,300,000 $5,372,600,000 $2,988,000,000 $1,714,400,000 $1,619,900,000 $-1,239,500,000 $-510,500,000
2017 $7,534,700,000 $4,793,000,000 $2,287,900,000 $1,587,300,000 $229,500,000 $461,500,000 $735,300,000
2016 $6,225,000,000 $4,222,900,000 $2,262,400,000 $1,208,900,000 $170,500,000 $-176,400,000 $98,200,000