Recent Annual Filings for VLCN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,226,503 $4,037,191 $31,051,218 $-45,510,309 $-16,037,552 $10,373,092 $-5,894,773
2023 $22,126,397 $3,260,988 $33,053,737 $-45,071,211 $-29,568,092 $27,084,318 $-3,344,496
2022 $22,725,613 $4,546,686 $36,610,311 $-34,235,405 $-33,647,249 $40,412,304 $5,965,643
2021 $14,624,265 $448,819 $39,628,669 $-40,125,109 $-24,160,526 $30,034,673 $5,036,117