Recent Annual Filings for LFVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $66,123,000 $213,398,000 $209,399,000 $2,302,000 $6,828,000 $-2,357,000 $1,415,000
2022 $70,706,000 $206,360,000 $201,669,000 $1,893,000 $7,959,000 $-8,952,000 $-2,984,000
2021 $78,732,000 $220,181,000 $202,949,000 $12,854,000 $16,273,000 $-11,453,000 $1,036,000
2020 $58,877,000 $232,915,000 $218,254,000 $11,631,000 $18,326,000 $-12,422,000 $3,314,000
2019 $55,273,000 $225,958,000 $216,728,000 $7,477,000 $17,789,000 $-11,121,000 $2,172,000
2018 $51,142,000 $203,204,000 $193,655,000 $5,869,000 $13,256,000 $-3,499,000 $5,194,000
2017 $45,249,000 $199,489,000 $196,579,000 $1,521,000 $6,597,000 $-1,958,000 $3,575,000
2016 $50,259,000 $206,540,000 $197,856,000 $6,313,000 $5,986,000 $-11,697,000 $-6,022,000