Recent Annual Filings for VTSI
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$65,453,086 |
$26,350,819 |
$24,099,852 |
$1,363,681 |
$1,257,266 |
$-220,709 |
$-809,015 |
2023 |
$69,634,042 |
$38,043,360 |
$27,821,690 |
$8,402,858 |
$6,682,616 |
$-188,184 |
$5,366,245 |
2022 |
$53,814,491 |
$28,302,244 |
$25,774,704 |
$1,955,898 |
$-2,693,351 |
$-190,419 |
$-6,224,968 |
2021 |
$49,575,392 |
$24,434,056 |
$21,647,917 |
$2,540,089 |
$-125,743 |
$16,728,108 |
$12,866,581 |
2020 |
$22,753,227 |
$19,087,631 |
$17,828,028 |
$1,478,403 |
$2,245,637 |
$1,328,263 |
$5,426,893 |
2019 |
$17,459,793 |
$18,711,923 |
$18,340,475 |
$-75,277 |
$-1,432,351 |
$-352,104 |
$-1,085,290 |
2018 |
$15,218,013 |
$18,080,126 |
$16,952,036 |
$818,092 |
$1,828,075 |
$-625,312 |
$-2,580,064 |