Recent Annual Filings for RAMP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,259,371,000 $745,580,000 $722,740,000 $-483,000 $155,653,000 $-102,696,000 $74,455,000
2024 $1,231,443,000 $659,661,000 $625,300,000 $11,341,000 $107,446,000 $-59,115,000 $-124,977,000
2023 $1,172,703,000 $596,583,000 $715,437,000 $-119,928,000 $39,845,000 $-146,010,000 $-135,714,000
2022 $1,333,736,000 $528,657,000 $563,732,000 $-35,625,000 $78,077,000 $-66,981,000 $18,475,000
2021 $1,288,321,000 $443,026,000 $563,826,000 $-88,491,000 $-20,560,000 $-43,495,000 $-150,939,000
2020 $1,301,889,000 $380,572,000 $546,109,000 $-126,567,000 $-28,782,000 $-201,976,000 $-328,847,000
2019 $1,472,911,000 $285,620,000 $464,976,000 $1,025,581,000 $-460,503,000 $-841,680,000 $923,205,000