Recent Annual Filings for CVU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $67,982,002 $81,078,864 $76,636,076 $3,299,334 $3,558,935 $-2,758,912 $396,169
2023 $74,360,132 $86,466,321 $82,614,531 $17,201,204 $3,928,341 $-2,540,322 $1,247,569
2022 $59,447,080 $83,335,764 $80,712,670 $9,176,225 $944,329 $-3,365,181 $-2,461,641
2021 $55,005,545 $103,369,544 $96,534,562 $6,820,373 $2,799,035 $-2,494,518 $275,329
2020 $49,691,082 $87,584,690 $88,958,628 $-1,320,438 $-1,602,455 $2,349,987 $1,981,428
2019 $44,339,580 $87,518,688 $91,964,963 $-4,450,152 $-377,982 $118,643 $-695,349
2018 $143,713,674 $83,929,270 $77,254,598 $2,226,363 $-2,535,038 $13,842,246 $4,697,265
2017 $124,184,499 $81,283,148 $72,805,514 $5,761,834 $1,572,498 $-941,765 $391,291