Recent Annual Filings for VYGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $393,050,000 $80,001,000 $144,338,000 $-65,361,000 $-15,310,000 $114,015,000 $3,846,000
2023 $351,281,000 $250,008,000 $116,270,000 $132,501,000 $77,919,000 $33,645,000 $-30,079,000
2022 $159,356,000 $40,907,000 $87,299,000 $-46,489,000 $-12,509,000 $1,110,000 $-18,738,000
2021 $193,855,000 $37,415,000 $108,612,000 $-71,201,000 $-53,525,000 $612,000 $12,993,000
2020 $261,584,000 $171,128,000 $134,387,000 $36,711,000 $-96,716,000 $3,163,000 $19,442,000
2019 $354,760,000 $104,391,000 $147,988,000 $-43,568,000 $48,666,000 $80,994,000 $39,183,000
2018 $177,029,000 $7,619,000 $96,087,000 $-88,254,000 $-15,887,000 $4,749,000 $15,329,000
2017 $184,477,000 $10,135,000 $80,833,000 $-70,933,000 $-61,350,000 $59,920,000 $-5,111,000