Recent Annual Filings for REKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $82,475,000 $46,028,000 $107,393,000 $-61,410,000 $-32,469,000 $31,455,000 $-10,384,000
2023 $92,151,000 $34,933,000 $80,586,000 $-45,685,000 $-32,627,000 $45,602,000 $-33,076,000
2022 $83,840,000 $19,920,000 $104,361,000 $-83,115,000 $-39,612,000 $23,868,000 $-24,133,000
2021 $125,879,000 $14,294,000 $44,740,000 $-26,782,000 $-18,033,000 $70,992,000 $5,592,000
2020 $40,402,000 $9,234,000 $23,173,000 $-14,182,000 $-15,063,000 $29,018,000 $19,143,000
2019 $28,992,000 $19,320,000 $33,685,000 $-15,884,000 $-21,332,000 $20,993,000 $-902,000