Recent Annual Filings for RVSB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,521,529,000 $56,555,000 $51,954,000 $5,982,000 $12,754,000 $-74,714,000 $1,598,000
2023 $1,589,712,000 $55,666,000 $31,987,000 $9,710,000 $13,575,000 $-156,710,000 $-219,380,000
2022 $1,740,096,000 $49,825,000 $21,549,000 $12,029,000 $16,463,000 $181,212,000 $-23,984,000
2021 $1,549,158,000 $48,344,000 $34,891,000 $8,213,000 $24,167,000 $349,520,000 $223,440,000
2020 $1,180,808,000 $50,495,000 $29,917,000 $20,473,000 $15,917,000 $3,979,000 $19,018,000
2019 $1,156,921,000 $49,118,000 $26,706,000 $19,388,000 $20,154,000 $-17,000,000 $-21,817,000
2018 $1,151,535,000 $44,960,000 $26,963,000 $7,523,000 $11,939,000 $13,797,000 $-19,846,000
2017 $1,133,939,000 $35,627,000 $24,836,000 $4,634,000 $18,308,000 $67,745,000 $9,213,000