Recent Annual Filings for VUZI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,405,258 $5,754,556 $79,292,713 $-73,538,157 $-23,739,372 $18,290,235 $-8,369,086
2023 $86,147,681 $12,129,139 $62,278,216 $-50,149,077 $-26,277,824 $-449,561 $-46,008,351
2022 $132,312,550 $11,835,882 $52,599,455 $-40,763,573 $-24,521,082 $-1,948,032 $-47,639,930
2021 $148,467,057 $13,164,933 $53,542,093 $-40,377,160 $-26,980,411 $115,967,228 $84,134,365
2020 $52,471,484 $11,581,496 $29,533,668 $-17,952,172 $-13,964,053 $40,912,983 $25,463,417
2019 $28,446,465 $6,670,604 $33,146,974 $-26,476,370 $-22,355,020 $18,855,007 $-6,657,552
2018 $35,133,640 $8,094,368 $29,970,081 $-21,875,713 $-22,542,574 $28,064,375 $2,374,007
2017 $26,833,253 $5,537,753 $25,171,255 $-19,633,502 $-16,465,706 $19,510,823 $355,692