Recent Annual Filings for RCMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $120,484,000 $263,237,000 $241,042,000 $16,881,000 $12,482,000 $-3,852,000 $6,094,000
2022 $87,964,000 $284,680,000 $256,200,000 $20,725,000 $28,283,000 $-23,127,000 $336,000
2020 $68,339,000 $150,409,000 $162,466,000 $-8,671,000 $25,203,000 $-25,632,000 $-848,000
2019 $96,173,000 $191,100,000 $186,278,000 $4,065,000 $-4,778,000 $6,627,000 $1,365,000
2018 $81,510,000 $200,352,000 $196,444,000 $2,355,000 $-64,000 $346,000 $-2,369,000
2017 $73,279,000 $186,737,000 $186,982,000 $2,193,000 $5,071,000 $-826,000 $2,572,000
2016 $69,831,000 $176,448,000 $173,146,000 $2,025,000 $11,635,000 $-11,556,000 $-706,000
2014 $87,273,000 $193,770,000 $183,169,000 $5,924,000 $4,181,000 $-4,571,000 $-2,906,000