Recent Annual Filings for IVVD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $129,515,000 $25,384,000 $202,260,000 $-169,917,000 $-170,491,000 $39,331,000 $-131,300,000
2023 $229,181,000 $-198,384,000 $-173,164,000 $1,045,000 $108,565,000
2022 $383,167,000 $-241,581,000 $-219,987,000 $506,000 $-450,148,000