Recent Annual Filings for RCAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $48,537,612 $17,836,382 $39,363,078 $-24,052,629 $-18,562,290 $7,802,076 $2,806,864
2023 $60,193,090 $9,911,780 $26,790,266 $-27,087,737 $-29,199,420 $-1,215,325 $-824,510
2022 $85,078,625 $6,428,963 $13,927,801 $-11,689,128 $-16,019,320 $66,430,274 $3,807,468
2021 $11,693,365 $4,999,517 $5,946,295 $-13,236,175 $-1,399,001 $1,488,048 $40,679