Recent Annual Filings for REPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $993,501,000 $410,181,000 $256,486,000 $88,897,000 $246,274,000 $-100,631,000 $-2,195,000
2023 $945,711,000 $375,047,000 $203,154,000 $111,591,000 $207,195,000 $264,379,000 $2,018,000
2022 $515,294,000 $321,743,000 $118,224,000 $118,011,000 $170,288,000 $-37,048,000 $4,984,000
2021 $388,231,000 $151,036,000 $91,160,000 $-65,666,000 $86,080,000 $-14,937,000 $15,407,000