Recent Annual Filings for RDW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $292,617,000 $304,101,000 $420,432,000 $-115,722,000 $-17,348,000 $43,716,000 $18,793,000
2023 $271,269,000 $243,800,000 $271,550,000 $-26,433,000 $1,231,000 $9,060,000 $1,962,000
2022 $257,698,000 $160,549,000 $299,141,000 $-128,630,000 $-31,657,000 $76,560,000 $7,793,000
2021 $261,756,000 $137,601,000 $210,407,000 $-61,940,000 $-37,358,000 $74,210,000 $-1,553,000