Recent Annual Filings for VERV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $647,392,000 $32,332,000 $260,992,000 $-198,553,000 $-157,692,000 $49,196,000 $-33,620,000
2023 $752,688,000 $11,758,000 $234,882,000 $-199,102,000 $-149,549,000 $212,577,000 $90,718,000
2022 $679,223,000 $1,941,000 $167,628,000 $-157,853,000 $-122,332,000 $328,956,000 $50,669,000
2021 $384,124,000 $-120,550,000 $-77,880,000 $377,089,000 $60,111,000