Raymond James Financial revenue and financials

RJF · NYSE · USD

$159.43Change from previous close: −0.85%Absolute change: −$1.37

Close · October 6, 2026

In the fiscal year ended September 2025, Raymond James Financial reported revenue of $15.91B (+6.63% year over year). Net income was $2.14B, a net margin of 13.4%.

Annual revenue · 2025: $15.91B
  1. $5.52B2016
  2. $6.53B2017
  3. $7.48B2018
  4. $8.02B2019
  5. $8.17B2020
  6. $9.91B2021
  7. $11.31B2022
  8. $12.99B2023
  9. $14.92B2024
  10. $15.91B2025

Fiscal year ending in September. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+6.63%
FY to Sep 2025 vs FY to Sep 2024
Net income growth
+3.24%
FY to Sep 2025 vs FY to Sep 2024
Net margin
13.4%
FY to Sep 2024: 13.9%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow-2461,099-10.0796691117830510711391543434
Depreciation and amortization55.050.049.0-34.049.047.047.0-30.045.045.042.0-27.0
Capital expenditure-62.0-45.0-46.0-44.0-57.0-46.0-41.0-50.0-56.0-49.0-50.0-51.0
Investing cash flow-2,092-1,337-1,865-1,423-1,302-659-937-211-64867.0-176-342
Financing cash flow6491,6906292,532292-16.0-4471,194-1,022-641907349
Dividends paid-105-109-112-102-103-106-105-95.0-95.0-96.0-97.0-89.0
Share repurchases-401-405-513-353-455-274-185-329-243-213-199-2.0
Debt issued35050.02501,480300—450—350200750650
Debt repaid-100-50.0-250-148-300-200-450—-600—-750-650
Effect of exchange rates-21.0-58.029.0-83.019765.0-214119-11.0-48.0115-107
Net change in cash-1,7101,394-1,2171,822-122-493-7681,612-970-2311,389334
Free cash flow-3081,054-56.075263471.0789460655342493383