Recent Annual Filings for VERO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $68,184,000 $64,833,000 $112,415,000 $-46,971,000 $-11,066,000 $10,064,000 $-1,125,000
2023 $93,654,000 $76,354,000 $113,475,000 $-37,050,000 $-12,859,000 $6,802,000 $-6,173,000
2022 $125,378,000 $99,497,000 $143,803,000 $-43,584,000 $-26,980,000 $8,009,000 $-19,307,000
2021 $153,867,000 $105,622,000 $128,470,000 $-22,141,000 $-19,771,000 $16,819,000 $-3,504,000
2020 $160,525,000 $78,014,000 $159,651,000 $-82,818,000 $-28,650,000 $49,673,000 $18,631,000
2019 $191,127,000 $110,406,000 $150,844,000 $-42,295,000 $-39,595,000 $42,202,000 $8,991,000