Recent Annual Filings for V

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $94,511,000,000 $35,926,000,000 $12,331,000,000 $20,752,000,000 $19,950,000,000 $-20,633,000,000 $-2,227,000,000
2023 $90,499,000,000 $32,653,000,000 $11,653,000,000 $18,325,000,000 $20,755,000,000 $-17,772,000,000 $1,613,000,000
2022 $85,501,000,000 $29,310,000,000 $10,497,000,000 $12,152,000,000 $18,849,000,000 $-12,696,000,000 $578,000,000
2021 $82,896,000,000 $24,105,000,000 $8,301,000,000 $12,393,000,000 $15,227,000,000 $-14,410,000,000 $628,000,000
2020 $80,919,000,000 $21,846,000,000 $7,765,000,000 $11,895,000,000 $10,440,000,000 $-3,968,000,000 $8,339,000,000
2019 $72,574,000,000 $22,977,000,000 $7,976,000,000 $10,876,000,000 $12,784,000,000 $-12,061,000,000 $-145,000,000
2018 $69,225,000,000 $20,609,000,000 $7,655,000,000 $9,970,000,000 $12,713,000,000 $-11,240,000,000 $-1,712,000,000
2017 $67,977,000,000 $18,358,000,000 $6,214,000,000 $8,035,000,000 $9,208,000,000 $-5,924,000,000 $4,255,000,000