Recent Annual Filings for RVP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $160,724,202 $33,049,533 $36,569,867 $-11,886,524 $-11,557,036 $-535,433 $-8,432,162
2023 $179,672,212 $43,596,926 $52,513,123 $-7,011,036 $2,766,848 $941,640 $-7,053,795
2022 $195,665,665 $94,818,938 $89,656,511 $5,078,557 $16,768,128 $4,993,118 $-9,441,568
2021 $206,304,588 $188,382,454 $113,431,643 $56,064,241 $32,793,499 $41,842,919 $11,596,231
2020 $104,970,674 $81,862,453 $55,789,206 $24,223,013 $18,997,029 $11,962,128 $11,631,933
2019 $39,177,730 $41,797,179 $38,641,070 $3,148,234 $2,194,638 $-626,839 $-3,712,543
2018 $36,792,019 $33,274,702 $34,627,963 $-1,339,943 $-1,195,495 $-666,800 $-5,230,607
2017 $38,155,480 $34,493,838 $38,417,484 $-3,736,038 $-2,922,636 $1,693,370 $-1,321,144