Recent Annual Filings for CVM
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$26,991,766 |
— |
— |
$-26,920,465 |
$-18,811,206 |
$19,511,730 |
$592,438 |
2023 |
$30,528,250 |
— |
— |
$-32,194,303 |
$-22,848,561 |
$4,694,420 |
$-18,526,403 |
2022 |
$50,523,706 |
$-1,081,034 |
$-37,781,715 |
$36,700,681 |
$-18,240,951 |
$-638,426 |
$-13,388,010 |
2021 |
$75,869,965 |
$-1,149,288 |
$35,044,841 |
$-36,361,109 |
$-18,787,016 |
$54,522,989 |
$20,551,239 |
2020 |
$40,536,454 |
$-1,041,725 |
$29,213,519 |
$-30,255,244 |
$-15,276,161 |
$25,035,177 |
$7,064,135 |
2019 |
$27,622,994 |
$462,754 |
$20,657,860 |
$-22,134,640 |
$-16,320,685 |
$14,791,254 |
$-1,865,270 |
2018 |
$29,586,422 |
$476,556 |
$17,248,802 |
$-31,837,205 |
$-13,389,558 |
$21,388,304 |
$7,940,606 |
2017 |
$22,924,174 |
$69,020 |
$21,407,333 |
$-14,363,287 |
$-13,791,894 |
$13,260,338 |
$-548,558 |