Recent Annual Filings for VERA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $655,681,000 $-152,006,000 $-134,679,000 $606,673,000 $46,965,000
2023 $175,546,000 $-95,739,000 $-92,181,000 $133,541,000 $1,929,000
2022 $131,435,000 $-89,056,000 $-67,596,000 $101,933,000 $-36,215,000
2021 $83,748,000 $-32,609,000 $-23,708,000 $53,882,000 $25,970,000