Recent Annual Filings for RPTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $253,901,000 $51,133,000 $167,357,000 $-93,340,000 $-127,158,000 $842,000 $-48,253,000
2022 $364,075,000 $131,830,000 $151,626,000 $-29,475,000 $322,000 $880,000 $-174,906,000
2021 $368,715,000 $7,600,000 $116,260,000 $-106,908,000 $-85,796,000 $95,557,000 $8,031,000
2020 $357,086,000 $135,000 $54,437,000 $-53,417,000 $-6,084,000 $247,842,000 $231,391,000