Recent Annual Filings for VNRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,399,523 $1,233,511 $28,491,496 $-27,116,294 $-25,893,624 $8,657,254 $-17,465,554
2023 $27,950,498 $775,302 $36,762,997 $-35,660,231 $-18,062,999 $28,982,685 $9,862,933
2022 $18,295,054 $306,392 $-23,284 $329,676 $-15,277,742 $6,938,032 $-9,714,263
2021 $27,490,336 $90,035 $26,904,700 $3,499,943 $-20,853,919 $22,857,552 $1,136,576
2020 $26,150,553 $13,433 $20,365,548 $-16,464,244 $20,620,837 $2,478,569
2019 $21,291,292 $17,096 $16,116,151 $-15,640,440 $-12,739,455 $16,929,527 $3,538,946
2018 $17,488,966 $-17,655,629 $-14,733,027 $17,967,087 $3,310,959
2017 $14,624,398 $-14,705,253 $-12,193,238 $1,966,954 $-11,562,471