Recent Annual Filings for RZLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $132,737,000 $-68,187,000 $-57,368,000 $63,029,000 $54,360,000
2023 $123,721,000 $-52,138,000 $-44,481,000 $11,571,000 $-134,374,000
2022 $152,420,000 $-41,060,000 $-39,616,000 $148,979,000
2021 $42,609,000 $-20,902,000 $-20,441,000 $51,533,000