Recent Annual Filings for WVVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $109,017,140 $39,782,442 $40,127,135 $-117,894 $-3,237,743 $5,409,849 $82,401
2023 $105,708,149 $39,136,114 $40,822,568 $-1,198,593 $-1,988,850 $6,615,626 $-100,194
2022 $98,683,982 $33,934,081 $34,700,219 $-646,492 $-2,666,228 $4,737,293 $-13,408,609
2021 $91,375,110 $31,786,864 $28,320,522 $2,445,463 $2,572,708 $7,476,217 $-252,470
2020 $79,490,347 $27,314,852 $22,540,202 $3,394,996 $5,420,998 $6,300,559 $6,949,579
2019 $67,915,487 $24,749,263 $21,286,239 $2,510,901 $4,291,446 $-1,660,089 $-2,687,291
2018 $61,482,536 $23,079,739 $19,140,153 $2,858,580 $2,302,113 $-1,079,038 $-4,038,790
2017 $59,695,271 $20,853,527 $17,407,022 $2,993,779 $2,509,899 $9,475,419 $8,069,906