Recent Annual Filings for RMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $700,494,000 $897,613,000 $833,165,000 $53,129,000 $61,375,000 $22,073,000 $-126,390,000
2023 $582,424,000 $962,316,000 $812,777,000 $127,771,000 $109,215,000 $-79,810,000 $78,901,000
2022 $542,405,000 $832,503,000 $741,802,000 $77,468,000 $101,270,000 $-61,427,000 $29,253,000
2021 $497,911,000 $607,238,000 $535,146,000 $81,013,000 $71,794,000 $-280,480,000 $-209,828,000
2020 $690,253,000 $589,505,000 $520,767,000 $66,333,000 $77,497,000 $-60,362,000 $11,215,000
2019 $667,872,000 $713,368,000 $515,580,000 $169,030,000 $198,214,000 $-81,795,000 $101,600,000
2018 $504,428,000 $404,979,000 $153,010,000 $217,423,000 $228,470,000 $-79,608,000 $148,208,000
2017 $383,719,000 $271,728,000 $136,167,000 $108,670,000 $125,936,000 $-70,299,000 $42,807,000