Recent Annual Filings for RIOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,051,080,000 $280,678,000 $343,725,000 $-49,322,000 $33,085,000 $748,522,000 $366,841,000
2022 $1,319,964,000 $259,171,000 $771,872,000 $-509,553,000 $530,000 $272,346,000 $-81,987,000
2021 $1,530,939,000 $213,243,000 $235,602,000 $-7,926,000 $-86,377,000 $665,640,000 $88,933,000
2020 $280,147,000 $12,081,000 $31,398,000 $-12,667,000 $-11,147,000 $259,921,000 $215,942,000
2019 $30,380,000 $6,837,000 $16,919,000 $-20,303,000 $-16,864,000 $25,879,000 $7,215,000
2018 $13,860,328 $7,845,332 $68,852,992 $-60,212,528 $-19,051,656 $2,487,262 $-41,426,575
2017 $52,335,540 $269,657 $13,420,500 $-19,970,932 $-4,440,050 $34,983,172 $36,122,117