Recent Annual Filings for RKLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,184,342,000 $436,214,000 $625,625,000 $-194,517,000 $-48,890,000 $256,682,000 $108,868,000
2023 $941,211,000 $244,592,000 $423,513,000 $-182,170,000 $-98,867,000 $7,369,000 $-79,437,000
2022 $989,123,000 $210,996,000 $343,942,000 $-136,116,000 $-106,538,000 $2,041,000 $-446,204,000
2021 $980,847,000 $62,237,000 $187,077,000 $-117,067,000 $-71,791,000 $799,939,000 $638,142,000