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Raymond James Financial (RJF)

Raymond James Financial (RJF)
145.28 +0.32 (+0.22%) 15:10 ET [NYSE]
145.17 x 10 145.34 x 6
Realtime by (Cboe BZX)
145.17 x 10 145.34 x 6
Realtime - - (-) -
Financial Summary for Tue, Mar 25th, 2025
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Raymond James Financial, Inc. (RJF) is a financial holding company whose broker-dealer subsidiaries are engaged in various financial services, including the underwriting, trading & brokerage of equity & debt securities & the sale of mutual funds & other investment products. In addition, other subsidiaries of RJF provide investment management services for retail and institutional clients, corporate and retail banking, and trust services. RJF's principal subsidiaries are Raymond James & Associates, Inc. (RJ&A), Raymond James Financial Services, Inc. (RJFS), Raymond James Financial Services Advisors, Inc. (RJFSA), Raymond James Ltd. (RJ Ltd.), Eagle Asset Management, Inc. (Eagle), and Raymond James Bank, N.A. (RJ Bank). All of these subsidiaries are wholly owned by RJF. RJF provide investment services for which charge sales commissions or asset-based fees based on established schedules. RJF provide custodial, trading, research and other back office support and services.

Fiscal Year End Date: 09/30

(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Sales 14,923,000 12,992,000 11,308,000 9,910,000 8,168,000
Sales Growth +14.86% +14.89% +14.11% +21.33% +1.81%
Net Income 2,068,000 1,739,000 1,509,000 1,403,000 818,000
Net Income Growth +18.92% +15.24% +7.56% +71.52% -20.89%
(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Total Assets 82,992,000 78,360,000 80,951,000 61,891,000 47,482,000
Total Assets Growth +5.91% -3.20% +30.80% +30.35% +22.28%
Total Liabilities 71,325,000 68,173,000 71,519,000 53,588,000 40,306,000
Total Liabilities Growth +4.62% -4.68% +33.46% +32.95% +25.22%
(Values in U.S. Thousands) Sep, 2024 Sep, 2023 Sep, 2022 Sep, 2021 Sep, 2020
Operating Cash Flow 2,155,000 -3,514,000 72,000 6,625,000 4,054,000
Operating Cash Flow Growth +161.33% -4,980.56% -98.91% +63.42% +602.60%
Net Cash Flow 1,800,000 -2,111,000 -1,790,000 6,815,000 3,663,000
Change in Net Cash Flow +185.27% -17.93% -126.27% +86.05% +12,110.00%
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