Recent Annual Filings for VIVK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $241,040,684 $89,811,240 $116,035,296 $-26,350,925 $1,810,827 $819,670 $2,932,685
2023 $71,235,743 $59,321,752 $70,064,324 $-10,931,925 $-764,902 $2,039,255 $-2,438,486
2022 $76,342,500 $28,107,223 $52,791,535 $-21,056,820 $-4,143,296 $8,165,125 $1,689,074