Rocket Companies, Inc. Financing Cash Flow 2018-2026 | RKT
What is financing cash flow?
Financing cash flow represents cash from or used in financing activities, including borrowing, repaying debt, issuing or repurchasing stock, and paying dividends.
What is Rocket Companies, Inc.'s current financing cash flow?
Rocket Companies, Inc. (RKT) annual financing cash flow for 2025 was $8.10B, a 147.12% increase from 2024. Rocket Companies, Inc. financing cash flow for the quarter ending March 31, 2026 was $-2.15B.
What was Rocket Companies, Inc.'s financing cash flow in 2024?
Rocket Companies, Inc. annual financing cash flow for 2024 was $3.28B, a 625.48% increase from 2023.
What was Rocket Companies, Inc.'s financing cash flow in 2023?
Rocket Companies, Inc. annual financing cash flow for 2023 was $-624.0M, a 95.13% increase from 2022.
What is Rocket Companies, Inc.'s 5-year financing cash flow CAGR?
Rocket Companies, Inc. financing cash flow grew at a compound annual growth rate (CAGR) of 35.75% from FY2020 to FY2025, going from $1.76B to $8.10B over 5 years.
Year-over-year comparison from 10-K annual reports