Recent Annual Filings for RSLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,793,000 $8,006,000 $15,097,000 $-7,146,000 $-4,427,000 $677,000
2023 $10,663,000 $8,678,000 $20,013,000 $-11,387,000 $-16,960,000 $17,574,000 $604,000
2022 $11,142,000 $11,240,000 $57,834,000 $-46,210,000 $-21,902,000 $3,130,000 $-18,864,000
2021 $54,258,000 $13,600,000 $75,639,000 $-61,904,000 $-15,375,000 $33,299,000 $19,808,000
2017 $88,704,549 $1,287,154 $37,419,737 $-33,817,972 $-24,588,208 $37,808,319 $6,852,421