Recent Annual Filings for RPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $977,339,000 $-55,488,000 $37,417,000 $-87,139,000 $290,000 $-286,147,000 $11,418,000
2022 $1,946,439,000 $217,656,000 $187,796,000 $110,197,000 $97,673,000 $-42,102,000 $-8,158,000
2021 $1,902,079,000 $213,488,000 $190,667,000 $82,020,000 $92,864,000 $-123,183,000 $-197,451,000
2020 $1,950,040,000 $191,712,000 $165,016,000 $-26,804,000 $63,059,000 $52,802,000 $96,932,000
2019 $1,918,559,000 $234,088,000 $180,066,000 $91,433,000 $90,593,000 $-115,858,000 $69,830,000
2018 $1,928,440,000 $260,622,000 $208,362,000 $19,226,000 $106,322,000 $-116,753,000 $31,831,000