Recent Annual Filings for GOVX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,155,867 $3,954,576 $29,098,856 $-24,992,296 $-24,675,511 $23,750,516 $-945,648
2023 $9,283,219 $-25,966,762 $-25,173,639 $4,062,442 $-21,160,143
2022 $31,347,928 $81,526 $14,110,090 $-14,021,125 $-19,030,208 $35,353,328 $16,188,862
2021 $11,797,064 $385,501 $19,131,324 $-18,570,317 $-11,196,420 $12,784,212 $1,540,074
2020 $10,393,899 $1,823,658 $4,640,473 $-2,958,068 $-2,750,570 $12,507,816 $9,600,455