Recent Annual Filings for RM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,794,527,000 $551,399,000 $530,616,000 $16,172,000 $249,166,000 $26,431,000 $-3,126,000
2022 $1,724,987,000 $507,187,000 $441,866,000 $50,638,000 $224,332,000 $205,572,000 $-17,390,000
2021 $1,459,662,000 $428,351,000 $315,878,000 $88,687,000 $189,015,000 $243,356,000 $77,313,000
2020 $1,103,856,000 $373,906,000 $337,978,000 $26,730,000 $172,582,000 $-58,324,000 $15,449,000
2019 $1,158,540,000 $355,713,000 $296,720,000 $44,732,000 $165,062,000 $116,853,000 $6,286,000
2018 $956,395,000 $306,706,000 $260,804,000 $35,345,000 $146,285,000 $81,083,000 $28,124,000
2017 $829,483,000 $272,459,000 $232,202,000 $29,963,000 $115,433,000 $73,769,000 $784,000
2016 $712,224,000 $240,518,000 $201,570,000 $24,031,000 $99,908,000 $54,237,000 $-3,208,000