Recent Annual Filings for VABK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,616,826,000 $75,927,000 $55,028,000 $15,148,000 $15,290,000 $-42,330,000 $-11,287,000
2023 $1,646,017,000 $69,990,000 $46,717,000 $27,843,000 $13,904,000 $-5,883,000 $-11,746,000
2022 $1,623,359,000 $56,731,000 $28,185,000 $-22,975,000 $22,685,000 $-324,192,000 $-468,704,000
2021 $1,972,184,000 $48,272,000 $36,355,000 $6,400,000 $13,065,000 $198,892,000 $474,145,000