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 |