Recent Annual Filings for VERI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $198,060,000 $92,637,000 $180,843,000 $-37,160,000 $-24,723,000 $-37,062,000 $-62,988,000
2023 $375,814,000 $127,560,000 $219,896,000 $-58,559,000 $-76,421,000 $26,329,000 $-104,976,000
2022 $424,752,000 $149,728,000 $187,723,000 $-25,529,000 $3,737,000 $-61,928,000 $-70,295,000
2021 $504,752,000 $115,305,000 $182,554,000 $-70,763,000 $7,234,000 $186,514,000 $139,905,000
2020 $177,654,000 $57,708,000 $105,381,000 $-47,856,000 $1,433,000 $69,438,000 $70,752,000
2019 $108,526,000 $49,648,000 $113,178,000 $-62,033,000 $-30,117,000 $24,615,000 $6,459,000
2018 $117,754,000 $27,047,000 $88,129,000 $-60,968,000 $-42,227,000 $34,292,000 $7,994,000
2017 $88,558,000 $14,413,000 $74,008,000 $-59,736,000 $-31,911,000 $93,705,000 $17,467,000