Recent Annual Filings for RDVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $92,990,000 $60,204,000 $57,700,000 $13,529,000 $15,071,000 $-5,703,000 $222,000
2022 $77,414,000 $53,318,000 $52,957,000 $616,000 $12,459,000 $-6,078,000 $-2,448,000
2021 $74,376,000 $44,022,000 $45,337,000 $655,000 $8,948,000 $17,597,000 $21,301,000
2020 $51,994,000 $34,586,000 $41,417,000 $-6,813,000 $6,519,000 $324,000 $1,181,000
2019 $48,871,000 $30,286,000 $41,498,000 $-11,076,000 $1,647,000 $6,181,000 $1,826,000
2018 $39,827,000 $16,302,000 $23,793,000 $-6,868,000 $-8,053,000 $23,939,000 $9,885,000