Recent Annual Filings for RXST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $318,563,000 $139,927,000 $167,332,000 $-27,113,000 $-16,946,000 $123,319,000 $7,053,000
2023 $182,550,000 $89,077,000 $137,665,000 $-48,518,000 $-41,593,000 $61,524,000 $-2,192,000
2022 $150,164,000 $49,005,000 $115,752,000 $-66,831,000 $-58,850,000 $6,332,000 $-12,577,000
2021 $192,721,000 $22,593,000 $71,273,000 $-48,705,000 $-44,708,000 $137,342,000 $10,717,000