Recent Annual Filings for REAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $446,923,000 $549,304,000 $717,493,000 $-168,472,000 $-61,268,000 $226,000 $-103,170,000
2022 $615,641,000 $603,493,000 $799,766,000 $-196,445,000 $-91,557,000 $4,101,000 $-124,378,000
2021 $754,944,000 $467,692,000 $703,743,000 $-236,118,000 $-142,151,000 $252,913,000 $67,325,000
2020 $605,109,000 $299,949,000 $475,680,000 $-175,828,000 $-134,419,000 $152,815,000 $196,400,000
2019 $466,930,000 $318,037,000 $414,584,000 $-96,714,000 $-54,490,000 $378,665,000 $108,819,000