Recent Annual Filings for REFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $435,148,974 $54,950,885 $17,905,482 $37,045,403 $23,159,376 $34,639,895 $18,502,408
2023 $359,225,597 $57,147,096 $18,436,848 $38,710,248 $28,416,459 $-24,308,830 $2,182,213
2022 $343,271,050 $48,857,628 $16,565,151 $32,292,477 $17,005,155 $33,706,190 $-74,532,699
2021 $278,170,455 $11,075,116 $1,578,680 $9,496,436 $6,669,437 $218,800,765 $80,248,526