Recent Annual Filings for RAVE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,819,000 $12,150,000 $9,058,000 $2,473,000 $2,740,000 $-311,000 $-2,442,000
2023 $14,237,000 $11,889,000 $9,739,000 $1,613,000 $2,629,000 $-5,009,000 $-2,395,000
2022 $18,516,000 $10,692,000 $9,031,000 $8,022,000 $1,384,000 $-2,329,000 $-607,000
2021 $13,345,000 $8,593,000 $7,759,000 $1,520,000 $1,485,000 $3,880,000 $5,127,000
2020 $9,705,000 $10,028,000 $10,183,000 $-4,233,000 $-360,000 $999,000 $706,000
2019 $10,426,000 $12,319,000 $13,120,000 $-750,000 $659,000 $88,000 $878,000
2018 $10,986,000 $15,120,000 $16,168,000 $1,912,000 $-3,902,000 $4,129,000 $935,000
2016 $18,505,000 $60,811,000 $66,872,000 $-8,886,000 $1,946,000 $866,000 $-4,854,000