Recent Annual Filings for RUM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $195,312,807 $95,488,190 $226,341,761 $-338,362,779 $-87,010,475 $-1,665,148 $-104,319,758
2023 $295,712,888 $80,963,451 $216,510,463 $-116,420,462 $-92,911,313 $-2,147,994 $-118,830,621
2022 $366,982,638 $39,384,284 $51,003,706 $-11,403,994 $-32,331,422 $332,792,493 $290,321,904