2021 annual financial data
Rayonier Inc. REIT 2021 Operating cash flow margin
Direct answer
Operating cash flow margin was 29.3%.
Operating income was 269,775,000 USD and net income was 152,550,000 USD.
Operating cash flow was 325,100,000 USD.
Get free Rayonier Inc. REIT email updates.
Bullstory sends one daily email when new analysis or important company news is available.
Verified data
- Revenue
- 1,109,597,000 USD
- Operating income
- 269,775,000 USD
- Net income
- 152,550,000 USD
- Operating cash flow
- 325,100,000 USD