Recent Annual Filings for RNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $628,555,000 $9,560,000 $221,780,000 $-209,397,000 $-119,064,000 $93,864,000 $-155,270,000
2022 $638,800,000 $9,224,000 $183,219,000 $-176,506,000 $-136,268,000 $346,171,000 $19,948,000
2021 $427,580,000 $9,326,000 $127,335,000 $-118,191,000 $-94,813,000 $176,316,000 $-1,014,000
2020 $333,898,000 $6,787,000 $51,142,000 $-44,360,000 $-37,117,000 $272,037,000 $227,135,000