Recent Annual Filings for CVRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $133,414,000 $51,292,000 $111,202,000 $-59,964,000 $-39,144,000 $55,870,000 $15,364,000
2023 $115,229,000 $39,295,000 $80,347,000 $-41,199,000 $-39,021,000 $23,984,000 $-15,625,000
2022 $124,937,000 $22,469,000 $63,788,000 $-41,437,000 $-42,677,000 $7,493,000 $-35,878,000
2021 $152,548,000 $13,036,000 $56,023,000 $-43,086,000 $-27,732,000 $111,883,000 $82,960,000