Recent Annual Filings for RELI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,315,077 $14,054,361 $23,125,945 $-9,071,584 $-2,515,124 $1,657,135 $-941,217
2023 $23,015,009 $13,731,826 $23,757,094 $-12,010,000 $-847,970 $966,923 $829,142
2022 $38,427,729 $16,755,884 $38,454,767 $6,466,162 $-3,189,997 $25,121,356 $-2,710,953
2021 $27,675,563 $9,710,334 $12,622,654 $-21,098,465 $-2,253,275 $8,643,776 $4,091,141