Recent Annual Filings for VTYX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $276,563,000 $-134,915,000 $-130,873,000 $122,115,000 $-24,264,000
2023 $277,693,000 $-191,889,000 $-166,522,000 $53,329,000 $-12,253,000
2022 $371,400,000 $-109,491,000 $-98,771,000 $167,772,000 $-5,930,000
2021 $291,482,000 $-83,804,000 $-38,650,000 $323,551,000 $70,547,000