Recent Annual Filings for VGZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,974,000 $11,249,000 $-5,735,000 $1,023,000 $10,881,000
2023 $8,934,000 $-6,585,000 $-5,861,000 $871,000 $-2,041,000
2022 $10,986,000 $-4,931,000 $-7,413,000 $-113,000 $-4,647,000
2021 $16,343,000 $-15,237,000 $-10,620,000 $12,984,000 $4,995,000
2020 $17,230,000 $420,000 $-6,955,000 $1,681,000 $6,354,000
2019 $16,684,000 $-9,386,000 $-7,053,000 $13,000 $337,000
2018 $22,126,000 $-8,714,000 $-8,567,000 $-97,000 $-360,000
2017 $31,141,000 $-12,052,000 $-8,801,000 $-264,000 $-473,000