Recent Annual Filings for LGVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,558,000 $2,392,000 $18,914,000 $-15,973,000 $-13,868,000 $28,791,000 $14,283,000
2023 $12,078,000 $709,000 $21,738,000 $-21,413,000 $-19,002,000 $5,262,000 $-5,554,000
2022 $27,413,000 $1,222,000 $20,057,000 $-18,478,000 $-13,969,000 $-509,000 $-15,155,000
2021 $42,766,000 $1,306,000 $18,351,000 $-17,045,000 $-9,636,000 $45,174,000 $24,842,000