Recent Annual Filings for RMBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,504,874,860 $80,526,194 $6,616,247 $14,752,462 $36,062,917 $1,517,065
2023 $1,461,023,801 $67,409,913 $16,192,915 $12,114,197 $114,735,824 $4,318,032
2022 $1,328,620,141 $51,858,001 $-35,573,725 $18,160,168 $90,847,746 $-7,116,052
2021 $1,267,639,741 $45,925,996 $6,224,284 $-9,646,061 $196,105,316 $-25,730,312
2020 $1,084,192,657 $42,341,576 $14,387,000 $16,574,558 $80,853,482 $8,171,580
2019 $986,042,071 $41,557,900 $-10,366,944 $10,097,020 $122,297,333 $25,625,707