Recent Annual Filings for NVFY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,917,403 $9,686,975 $15,246,066 $-5,560,984 $-1,391,779 $1,405,900
2023 $6,238,478 $11,087,459 $18,079,624 $-7,279,074 $-1,580,247 $1,561,604
2022 $11,533,496 $12,744,871 $29,818,388 $-17,406,279 $-5,367,650 $5,376,422
2021 $29,529,624 $12,813,223 $32,611,823 $-20,378,933 $-4,782,354 $2,760,974 $-2,176,200
2020 $46,478,522 $11,350,230 $37,751,189 $-25,280,035 $-2,075,272 $466,096 $-140,614
2019 $71,555,593 $21,983,279 $27,868,917 $-8,600,724 $14,885,246 $-6,864,354 $7,994,990