Recent Annual Filings for VITL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $359,332,000 $606,307,000 $538,769,000 $53,768,000 $64,824,000 $8,654,000 $66,452,000
2023 $275,178,000 $471,857,000 $439,656,000 $26,736,000 $50,906,000 $-2,054,000 $71,235,000
2022 $214,666,000 $362,050,000 $359,219,000 $-36,000 $-8,098,000 $83,000 $-18,052,000
2021 $189,942,000 $260,901,000 $260,547,000 $2,132,000 $16,325,000 $2,180,000 $1,422,000
2020 $171,374,000 $214,280,000 $202,626,000 $8,853,000 $11,702,000 $94,410,000 $28,270,000