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Thurs Jan 9th, the US Stock Markets will be closed in observance of a national day of mourning for former President Jimmy Carter. Read the press release here. Regular trading hours will resume tomorrow.

Rentokil Initial Plc ADR (RTO)

Rentokil Initial Plc ADR (RTO)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Rentokil Initial plc provides business support services including pest control, package delivery, interior landscaping, catering, cleaning, washroom solutions and textiles. Building services includes installation and maintenance of heating, ventilation and air conditioning equipment, water testing and treatment; and electrical testing and safety services. Its cleaning companies provide a professional cleaning service to industry, commerce, hotels, schools, hospitals, airports and other transport facilities. Its specialist services include the supply of non-medical hospital staff, the manufacture of washroom dispensing systems. Its interior landscaping offers indoor plants to customers on a rental or purchase basis. Linen, Garment and Floorcare Rental supplies workwear, uniforms, clean room uniforms and protective equipment. Rentokil Initial plc is based in Gatwick, the United Kingdom.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Sales 6,685,960 4,593,850 4,065,620 3,625,370 3,466,020
Sales Growth +45.54% +12.99% +12.14% +4.60% +8.78%
Net Income 473,930 286,960 361,930 239,210 362,380
Net Income Growth +65.16% -20.71% +51.30% -33.99% +386.04%
(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Total Assets 13,840,880 14,746,320 5,944,700 7,496,250 4,334,310
Total Assets Growth -6.14% +148.06% -20.70% +72.95% +9.14%
Total Liabilities 8,755,810 9,677,510 4,206,710 6,044,560 3,054,470
Total Liabilities Growth -9.52% +130.05% -30.41% +97.89% +5.39%
(Values in U.S. Thousands) Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019
Operating Cash Flow 916,750 742,140 774,460 698,750 591,080
Operating Cash Flow Growth +23.53% -4.17% +10.84% +18.22% +26.13%
Net Cash Flow -58,460 787,910 -424,770 355,540 220,900
Change in Net Cash Flow -107.42% +285.49% -219.47% +60.95% +184.35%
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