Recent Annual Filings for NNVC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,822,853 $-8,294,146 $-6,315,507 $3,120,037 $-3,352,030
2023 $16,899,880 $-8,588,573 $-5,670,051 $-94,788 $-5,916,551
2022 $23,494,862 $-8,106,863 $-5,891,254 $-234,716
2021 $30,262,313 $-8,822,189 $-8,213,837 $15,260,684
2020 $23,914,339 $-13,446,538 $-6,665,603 $17,827,628
2019 $13,448,513 $-8,424,440 $-6,802,770 $2,350,000
2018 $18,546,212 $-8,563,455 $-7,775,868 $-8,017,690
2017 $27,002,814 $-10,304,490 $-7,897,746 $-1,000,000 $-9,062,724