Recent Annual Filings for RSSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $41,859,762 $44,623,899 $48,297,425 $-3,787,192 $3,550,954 $-905,851 $-7,450,153
2023 $21,834,727 $37,703,452 $37,126,227 $575,340 $3,383,847 $-97,259 $2,941,929
2022 $17,026,276 $32,934,152 $34,558,914 $-1,634,748 $-417,200 $63,270 $-398,218
2021 $16,918,624 $31,756,345 $32,038,230 $-279,628 $1,868,406 $-159,974 $1,692,781
2020 $14,812,692 $31,058,737 $31,830,588 $-677,695 $2,418,465 $1,553,399 $13,398