Recent Annual Filings for VVOS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,284,000 $15,031,000 $26,167,000 $-11,136,000 $-12,691,000 $17,876,000 $4,617,000
2023 $10,730,000 $13,801,000 $27,384,000 $-13,583,000 $-11,946,000 $12,799,000
2022 $13,720,000 $16,024,000 $39,869,000 $-23,845,000 $-19,587,000 $20,511,000
2021 $33,689,000 $16,885,000 $37,173,000 $-20,288,000 $-15,735,000 $24,167,000 $5,824,000
2020 $25,327,469 $13,066,237 $25,123,114 $-12,056,877 $-5,680,294 $23,536,861 $17,736,315