Recent Annual Filings for VRME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,067,000 $24,207,000 $28,088,000 $-3,810,000 $871,000 $-616,000 $-272,000
2023 $20,705,000 $25,313,000 $28,702,000 $-3,389,000 $244,000 $634,000 $-317,000
2022 $20,752,000 $19,576,000 $33,976,000 $-14,401,000 $-2,551,000 $4,424,000 $-6,011,000
2021 $21,688,000 $867,000 $5,698,000 $3,612,000 $-3,254,000 $7,588,000 $1,483,000
2020 $8,774,000 $343,000 $6,245,000 $-5,902,000 $-2,281,000 $10,092,000 $7,686,000