Recent Annual Filings for RVLV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $665,547,000 $1,129,911,000 $1,065,464,000 $47,707,000 $26,692,000 $-5,363,000 $12,215,000
2023 $608,886,000 $1,068,719,000 $1,030,958,000 $30,105,000 $43,342,000 $-30,377,000 $8,767,000
2022 $579,318,000 $1,101,416,000 $1,024,800,000 $55,810,000 $23,436,000 $887,000 $19,156,000
2021 $480,413,000 $891,390,000 $786,662,000 $99,398,000 $62,313,000 $12,766,000 $72,884,000
2020 $305,752,000 $580,649,000 $520,577,000 $57,276,000 $73,773,000 $8,660,000 $80,109,000
2019 $232,290,000 $600,993,000 $553,826,000 $35,935,000 $46,057,000 $15,179,000 $48,781,000