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