Recent Annual Filings for VEEE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,887,905 $14,388,517 $28,398,423 $-14,009,906 $-6,973,617 $-213,744 $-9,048,993
2023 $39,846,713 $33,425,912 $43,208,108 $-9,782,196 $-6,934,773 $6,818,020 $-6,745,774
2022 $38,231,480 $31,987,724 $37,781,138 $-5,793,414 $-4,146,030 $20,867,340 $16,525,705
2021 $20,599,184 $15,774,170 $16,785,179 $-1,011,009 $-1,947,539 $16,068,289 $6,083,486