Recent Annual Filings for RVMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,558,301,000 $-599,316,000 $-557,436,000 $959,413,000 $-152,417,000
2023 $2,061,705,000 $11,580,000 $451,471,000 $-434,043,000 $-350,572,000 $1,229,200,000 $536,030,000
2022 $811,930,000 $35,380,000 $284,505,000 $-250,109,000 $-224,401,000 $301,432,000 $52,915,000
2021 $737,988,000 $29,390,000 $216,481,000 $-187,583,000 $-147,180,000 $294,179,000 $4,882,000
2020 $567,401,000 $42,983,000 $151,513,000 $-108,117,000 $-100,064,000 $422,776,000 $88,479,000