2008Q2_Statements_RTY.pdf
26 April 2008, 05:26 MDT
2008Q2_MD_and_A_-_RTY.pdf
26 April 2008, 05:26 MDT
01 October 2007, 09:40 MDT
RTM has reported a profit of $6,871 and net cash flow from operations of $89,591 for the first six months of fiscal 2008. Results for the second quarter, normally the quietest quarter of the year, are a net loss of $41,692 and a cash flow deficit from operations of $2,944. Interested parties are encouraged to get all the details by reading Q2 Fiscal 2008 Financials and the additional disclosure presented in Q2 Fiscal 2008 MD&A.



