Recent Annual Filings for RVPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,503,088 $-29,918,802 $-33,543,916 $23,652,791
2023 $23,700,388 $-39,260,837 $-28,324,353 $33,171,953
2022 $18,923,675 $-24,339,292 $-18,960,581 $7,792,493
2021 $31,404,001 $-8,521,876 $-10,668,462 $31,595,944
2020 $8,762,278 $-3,783,388 $-3,725,692 $12,485,961