Recent Annual Filings for RMAX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $581,594,000 $307,685,000 $301,485,000 $3,864,000 $59,652,000 $-8,273,000 $45,503,000
2023 $577,150,000 $325,671,000 $367,210,000 $-96,983,000 $28,264,000 $-35,817,000 $-13,196,000
2022 $695,234,000 $353,386,000 $335,258,000 $8,632,000 $71,142,000 $-78,363,000 $-18,721,000
2021 $776,133,000 $329,701,000 $351,862,000 $-24,572,000 $42,442,000 $189,352,000 $36,872,000
2020 $557,392,000 $266,001,000 $236,878,000 $20,236,000 $70,847,000 $-35,999,000 $17,318,000
2019 $542,352,000 $282,293,000 $224,528,000 $47,022,000 $78,975,000 $-34,542,000 $43,557,000
2018 $426,840,000 $212,626,000 $146,462,000 $50,112,000 $76,064,000 $-33,152,000 $9,237,000
2017 $406,562,000 $195,929,000 $105,174,000 $36,253,000 $63,288,000 $-33,235,000 $-6,802,000