Recent Annual Filings for UVV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,937,239,000 $2,721,644,000 $2,557,564,000 $127,494,000 $-74,632,000 $125,675,000 $-9,097,000
2023 $2,639,182,000 $2,549,818,000 $2,407,849,000 $137,592,000 $-10,557,000 $38,949,000 $-22,958,000
2022 $2,586,345,000 $2,091,150,000 $1,948,883,000 $125,793,000 $44,882,000 $-16,760,000 $-115,573,000
2021 $2,341,924,000 $1,965,463,000 $1,839,737,000 $141,358,000 $220,414,000 $91,389,000 $95,791,000
2020 $2,120,921,000 $1,891,877,000 $1,778,586,000 $21,853,000 $10,897,000 $-94,146,000 $-190,126,000
2019 $2,133,184,000 $2,213,126,000 $2,061,804,000 $74,350,000 $164,522,000 $-65,787,000 $63,428,000
2018 $2,168,632,000 $2,033,947,000 $1,867,270,000 $137,664,000 $83,245,000 $-104,646,000 $-49,865,000
2017 $2,123,405,000 $2,071,218,000 $1,901,980,000 $114,544,000 $250,315,000 $-251,244,000 $-35,454,000