Recent Annual Filings for RNXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,118,000 $43,000 $11,013,000 $-8,814,000 $-9,125,000 $15,118,000 $5,981,000
2023 $1,466,000 $-10,232,000 $-10,258,000 $5,008,000 $-3,218,000
2022 $7,265,000 $-9,872,000 $-8,811,000 $42,000 $-10,801,000
2021 $16,287,000 $-834,000 $4,837,000 $-6,324,000 $-5,916,000 $19,328,000