Recent Annual Filings for RVYL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,276,000 $55,998,000 $81,683,000 $-28,477,000 $21,191,000 $-241,000 $18,712,000
2023 $128,665,000 $65,869,000 $118,681,000 $-53,057,000 $33,161,000 $-3,008,000 $32,484,000
2022 $97,657,142 $32,909,112 $82,153,513 $-9,343,959 $-10,048,781 $-65,445,177