Recent Annual Filings for RCKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $566,341,000 $-244,919,000 $-194,916,000 $208,401,000 $-84,581,000
2022 $551,807,000 $-222,059,000 $-178,142,000 $155,288,000 $-92,180,000
2021 $497,020,000 $-169,188,000 $-121,163,000 $37,681,000 $-64,629,000
2020 $590,824,000 $-139,762,000 $-74,640,000 $282,989,000 $111,758,000
2019 $372,121,000 $-77,123,000 $-64,663,000 $177,791,000 $74,117,000
2018 $251,313,000 $-74,645,000 $-53,788,000 $153,502,000 $94,442,000