Recent Annual Filings for RSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $379,466,000 $924,083,000 $899,774,000 $-181,000 $106,449,000 $-2,652,000 $61,779,000
2023 $318,580,000 $691,161,000 $742,772,000 $-54,765,000 $-5,932,000 $-518,000 $-35,104,000
2022 $350,346,000 $592,212,000 $717,010,000 $-138,218,000 $-60,321,000 $-1,216,000 $-94,248,000
2021 $408,731,000 $488,105,000 $582,384,000 $-73,203,000 $-48,186,000 $125,584,000 $38,264,000
2020 $308,560,000 $278,500,000 $414,392,000 $-138,287,000 $16,179,000 $241,071,000 $251,522,000