Recent Annual Filings for RMBL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $755,200,000 $1,209,200,000 $1,288,000,000 $-78,600,000 $99,400,000 $-80,600,000 $19,700,000
2023 $926,300,000 $1,366,400,000 $1,521,500,000 $-215,500,000 $-35,500,000 $73,000,000 $18,400,000
2022 $1,027,210,000 $1,793,369,000 $2,127,480,000 $-261,513,000 $-18,887,000 $107,696,000 $6,605,000
2021 $1,027,749,000 $938,440,000 $969,830,000 $-9,725,000 $-32,177,000 $459,466,000 $48,458,000
2020 $76,979,235 $416,427,243 $441,426,218 $-24,998,975 $17,143,227 $-18,072,217 $-3,210,395
2019 $113,393,091 $840,629,347 $885,806,400 $-45,177,053 $-39,747,330 $34,559,933 $-9,058,620
2018 $108,926,381 $156,398,231 $181,580,048 $-25,181,817 $-23,452,753 $47,631,370 $6,614,250
2017 $18,152,830 $7,305,902 $15,879,225 $-8,573,323 $-9,623,493 $19,322,863 $7,820,072