Recent Annual Filings for VRDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $490,424,000 $314,000 $254,764,000 $-237,006,000 $-184,170,000 $225,670,000 $-52,752,000
2022 $435,091,000 $1,772,000 $136,076,000 $-130,107,000 $-93,838,000 $322,244,000 $113,280,000
2021 $203,709,000 $2,963,000 $82,691,000 $-79,562,000 $-54,581,000 $125,275,000 $-3,598,000