Recent Annual Filings for RDNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,690,473,000 $1,616,630,000 $1,577,820,000 $38,530,000 $220,863,000 $195,635,000 $214,736,000
2022 $2,433,907,000 $1,430,061,000 $1,387,092,000 $33,352,000 $146,417,000 $93,647,000 $-6,772,000
2021 $2,058,474,000 $1,315,077,000 $1,256,198,000 $47,949,000 $149,491,000 $104,673,000 $32,588,000
2020 $1,786,657,000 $1,071,840,000 $1,072,694,000 $-17,774,000 $233,759,000 $-45,561,000 $61,853,000
2019 $1,646,986,000 $1,154,179,000 $1,124,510,000 $13,155,000 $104,322,000 $24,951,000 $29,776,000
2018 $1,109,330,000 $975,146,000 $936,619,000 $40,940,000 $116,754,000 $-10,869,000 $-40,933,000
2017 $868,979,000 $922,186,000 $895,801,000 $1,221,000 $142,225,000 $-32,247,000 $30,684,000
2016 $849,476,000 $884,535,000 $872,099,000 $7,689,000 $91,641,000 $-5,910,000 $20,192,000