Recent Annual Filings for DBVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $65,658,000 $4,151,000 $118,014,000 $-117,977,000 $-104,474,000 $587,000 $-104,644,000
2023 $182,986,000 $15,728,000 $88,447,000 $-67,054,000 $-79,653,000 $6,767,000 $-73,694,000
2022 $246,518,000 $4,844,000 $101,048,000 $-104,441,000 $-55,666,000 $194,120,000 $138,354,000
2021 $146,723,000 $5,708,000 $103,897,000 $-110,070,000 $-108,242,000 $274,000 $-119,052,000
2020 $272,246,000 $11,276,000 $170,842,000 $-136,075,000 $-165,607,000 $149,548,000 $3,098,000