Recent Annual Filings for RLGT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $371,185,000 $802,470,000 $792,750,000 $17,255,000 $-10,182,000 $-8,088,000
2023 $393,741,000 $1,085,486,000 $1,057,940,000 $97,895,000 $-80,207,000 $6,976,000
2022 $497,351,000 $1,459,419,000 $1,401,236,000 $24,877,000 $28,934,000 $8,133,000
2021 $357,241,000 $889,124,000 $859,766,000 $14,100,000 $-23,749,000 $-20,722,000
2020 $300,040,000 $855,197,000 $839,676,000 $29,880,000 $12,289,000 $28,026,000
2019 $267,710,000 $890,517,000 $868,337,000 $39,813,000 $-35,083,000 $-1,572,000
2018 $305,438,000 $842,417,000 $831,911,000 $4,761,000 $1,351,000 $1,184,000
2017 $289,540,000 $777,613,000 $769,021,000 $4,862,000 $14,851,000 $2,476,000 $1,040,000