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