Recent Annual Filings for VNCE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $222,735,000 $293,452,000 $316,853,000 $-18,936,000 $22,059,000 $-18,381,000 $-554,000
2024 $225,149,000
2023 $303,345,000 $357,442,000 $392,751,000 $-38,305,000 $-19,261,000 $17,811,000 $18,000
2022 $337,227,000 $322,683,000 $330,806,000 $-12,698,000 $-221,000 $2,514,000 $-2,762,000
2021 $332,944,000 $219,870,000 $283,653,000 $-65,674,000 $-25,071,000 $31,787,000 $3,219,000
2020 $362,302,000 $375,187,000 $344,693,000 $30,376,000 $16,819,000 $-11,991,000 $305,000
2019 $234,931,000 $278,951,000 $280,919,000 $-2,022,000 $3,575,000 $-5,821,000 $-5,316,000
2018 $234,534,000 $272,582,000 $214,557,000 $58,597,000 $-40,387,000 $28,160,000 $-15,606,000