Recent Annual Filings for VRAR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,558,603 $8,804,199 $15,198,494 $-6,394,295 $-5,209,847 $2,968,501 $-3,770,788
2023 $24,278,407 $13,482,364 $42,288,048 $-28,563,283 $-9,162,414 $66,111 $-12,630,583
2022 $38,397,084 $7,267,613 $13,610,225 $-5,966,287 $-4,940,865 $26,475,808 $16,477,737