Recent Annual Filings for REI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,408,099,474 $366,327,414 $233,426,714 $67,470,314 $194,423,712 $-41,999,334 $1,570,011
2023 $1,376,496,392 $361,056,001 $215,275,510 $104,864,641 $198,170,459 $20,986,687 $-3,416,142
2022 $1,268,999,797 $347,249,537 $155,505,404 $138,635,025 $196,976,729 $113,208,771 $1,304,210
2021 $684,157,329 $196,305,966 $100,549,118 $3,322,892 $72,731,212 $-22,662,130 $-1,170,318
2020 $663,456,197 $113,025,138 $381,686,604 $-253,411,828 $72,159,255 $-34,754,846 $-6,425,988
2019 $973,006,148 $195,702,831 $135,566,503 $29,496,551 $106,616,221 $323,064,926 $6,640,896
2018 $567,065,659 $120,065,361 $100,104,422 $8,999,760 $70,357,321 $121,421,138 $-11,642,855
2017 $414,102,486 $66,699,700 $54,529,660 $1,753,869 $42,806,204 $59,026,956 $-56,079,800