Recent Annual Filings for RBKB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,255,765,000 $3,002,000 $13,939,000 $7,943,000 $8,470,000 $-67,860,000 $15,355,000
2023 $1,313,202,000 $2,880,000 $-2,734,000 $7,086,000 $7,048,000 $-31,005,000 $-9,255,000
2022 $1,335,977,000 $2,829,000 $-6,067,000 $-18,557,000 $14,795,000 $68,107,000 $-40,707,000
2021 $1,281,166,000 $2,584,000 $-12,407,000 $8,714,000 $7,652,000 $106,686,000 $-21,394,000
2020 $1,128,829,000 $2,276,000 $-5,200,000 $6,230,000 $14,845,000 $140,779,000 $81,507,000
2019 $973,946,000 $2,824,000 $-4,668,000 $8,871,000 $8,985,000 $81,361,000 $-38,612,000