Recent Annual Filings for RELL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $192,445,000 $196,460,000 $196,303,000 $210,000 $6,524,000 $-2,905,000 $-718,000
2023 $198,048,000 $262,658,000 $237,628,000 $22,148,000 $-8,199,000 $389,000 $-10,514,000
2022 $179,819,000 $224,620,000 $208,861,000 $13,834,000 $1,911,000 $-352,000 $-7,821,000
2021 $156,753,000 $176,937,000 $174,629,000 $5,058,000 $832,000 $-3,014,000 $12,781,000
2020 $150,720,000 $155,898,000 $157,112,000 $-2,738,000 $1,923,000 $-3,208,000 $-11,484,000
2019 $153,017,000 $166,652,000 $172,963,000 $-9,304,000 $-2,563,000 $-2,817,000 $-18,446,000
2018 $166,329,000 $163,212,000 $159,352,000 $5,272,000 $2,952,000 $-2,951,000 $5,138,000
2017 $157,464,000 $136,872,000 $142,988,000 $-6,784,000 $1,809,000 $-3,001,000 $-5,127,000