Recent Annual Filings for VTVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $38,266,000 $1,017,000 $23,622,000 $-22,705,000 $-25,307,000 $52,607,000
2023 $11,018,000 $-25,966,000 $-19,081,000 $11,997,000 $-2,680,000
2022 $33,238,000 $2,018,000 $26,891,000 $-25,073,000 $-16,022,000 $14,754,000 $-1,289,000
2021 $25,474,000 $4,005,000 $21,621,000 $-17,731,000 $-19,308,000 $26,976,000
2020 $14,789,000 $6,414,000 $19,216,000 $-12,802,000 $-18,000,000 $19,470,000
2019 $9,266,000 $2,764,000 $24,602,000 $-21,938,000 $-23,018,000 $22,870,000 $94,000
2018 $8,559,000 $12,434,000 $36,079,000 $-23,845,000 $-26,856,000 $16,612,000 $-10,237,000
2017 $27,917,000 $291,000 $54,138,000 $-54,647,000 $-44,560,000 $7,500,000 $-37,085,000