Recent Annual Filings for UVSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,128,417,000 $299,225,000 $203,925,000 $82,585,000 $75,106,000 $263,680,000 $79,045,000
2023 $7,780,628,000 $371,730,000 $283,041,000 $82,562,000 $89,741,000 $461,695,000 $97,000,000
2022 $7,222,016,000 $252,193,000 $154,983,000 $32,369,000 $109,455,000 $50,806,000 $-737,351,000
2021 $7,122,421,000 $97,592,000 $102,337,000 $694,734,000 $670,292,000
2020 $6,336,496,000 $147,048,000 $46,265,000 $51,179,000 $910,943,000 $94,730,000
2019 $5,380,924,000 $134,040,000 $72,322,000 $73,148,000 $285,929,000 $15,708,000
2018 $4,984,347,000 $129,802,000 $44,252,000 $86,006,000 $379,323,000 $34,011,000
2017 $4,554,862,000 $101,204,000 $45,777,000 $68,660,000 $281,411,000 $-2,036,000