Recent Annual Filings for RDUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,533,769,000 $2,738,692,000 $3,060,125,000 $-266,713,000 $-53,413,000 $131,471,000 $-480,000
2021 $181,542,000 $229,973,000 $284,290,000 $-70,197,000 $-22,434,000 $19,319,000 $20,097,000
2020 $191,582,000 $238,645,000 $321,067,000 $-109,190,000 $-73,948,000 $28,013,000 $21,550,000
2019 $219,151,000 $173,317,000 $-132,235,000 $-82,414,000 $5,709,000 $10,572,000
2018 $286,962,000 $99,239,000 $-221,778,000 $-204,726,000 $11,672,000 $-58,738,000
2017 $461,658,000 $12,112,000 $261,085,000 $-254,622,000 $-206,685,000 $315,668,000 $-140,003,000
2016 $340,282,000 $-182,738,000 $-139,804,000 $2,573,000 $98,889,000
2015 $482,465,000 $-101,500,000 $-87,103,000 $458,085,000 $131,160,000