Recent Annual Filings for RES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,386,489,000 $1,414,999,000 $1,302,197,000 $90,985,000 $349,386,000 $-45,170,000 $102,665,000
2023 $1,286,845,000 $1,617,474,000 $1,361,231,000 $212,683,000 $394,763,000 $-56,165,000 $96,886,000
2022 $1,129,013,000 $1,601,762,000 $1,312,130,000 $219,132,000 $201,286,000 $-33,580,000 $43,991,000
2021 $864,365,000 $864,929,000 $848,481,000 $4,215,000 $47,719,000 $-2,151,000 $-2,063,000
2020 $790,505,000 $598,302,000 $907,733,000 $-206,675,000 $77,958,000 $-826,000 $34,473,000
2019 $1,053,218,000 $1,222,409,000 $1,335,510,000 $-91,588,000 $209,141,000 $-39,592,000 $-66,239,000
2018 $1,199,580,000 $1,721,005,000 $1,499,725,000 $173,373,000 $389,009,000 $-144,070,000 $25,212,000
2017 $1,147,224,000 $1,595,227,000 $1,362,411,000 $163,911,000 $133,704,000 $-70,103,000 $-40,785,000