Recent Annual Filings for RDFN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,153,648,000 $976,672,000 $1,194,727,000 $-129,407,000 $56,758,000 $-245,415,000 $-91,246,000
2022 $1,574,204,000 $2,284,442,000 $2,647,772,000 $-320,516,000 $40,491,000 $-332,094,000 $-476,035,000
2021 $2,021,972,000 $1,922,765,000 $2,032,718,000 $-109,228,000 $-301,568,000 $650,341,000 $-227,539,000
2020 $1,360,520,000 $886,093,000 $885,301,000 $-18,358,000 $61,267,000 $694,227,000 $698,372,000
2019 $596,213,000 $779,796,000 $859,042,000 $-80,763,000 $-107,610,000 $31,883,000 $-191,607,000
2018 $542,821,000 $486,920,000 $530,854,000 $-41,978,000 $-36,702,000 $273,402,000 $226,397,000
2017 $281,955,000 $370,036,000 $386,008,000 $-15,002,000 $5,355,000 $149,822,000 $144,813,000