Recent Annual Filings for REBN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,789,123 $5,928,533 $10,733,681 $-4,805,948 $-3,452,224 $4,423,355 $-6,086
2023 $9,000,419 $5,953,986 $9,950,872 $-3,997,686 $-2,790,956 $1,467,722 $-2,342,587
2022 $8,457,541 $3,240,523 $6,793,820 $-3,554,897 $-3,297,058 $6,092,573 $2,113,984