Recent Annual Filings for EVLV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $268,059,000 $103,865,000 $157,882,000 $-53,996,000 $-30,853,000 $1,809,000 $-30,422,000
2023 $298,720,000 $80,418,000 $186,621,000 $-106,297,000 $-9,801,000 $-29,664,000 $-162,621,000
2022 $348,115,000 $55,195,000 $141,601,000 $-86,416,000 $-74,728,000 $20,510,000 $-78,109,000
2021 $363,065,000 $23,692,000 $34,550,000 $-10,858,000 $-69,628,000 $377,829,000 $303,463,000
2019 $229,987,000 $596,637,000 $618,729,000 $-22,157,000 $7,212,000 $-2,564,000 $-3,455,000
2018 $249,258,000 $648,220,000 $651,522,000 $143,000 $3,278,000 $-14,224,000 $-8,707,000
2017 $274,780,000 $666,213,000 $674,157,000 $-8,745,000 $7,284,000 $24,235,000 $20,750,000
2016 $265,763,000 $693,312,000 $704,762,000 $-12,284,000 $-9,411,000 $21,844,000 $-7,931,000