Recent Annual Filings for NVNO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,954,000 $-21,819,000 $-16,838,000 $13,637,000 $-1,866,000
2023 $48,635,000 $-23,516,000 $-18,858,000 $26,726,000
2022 $41,661,000 $161,000 $25,093,000 $-24,669,000 $-15,619,000 $50,173,000
2021 $57,699,142 $18,709 $16,911,212 $-16,527,822 $-11,845,846 $57,606,892 $45,393,156