Recent Annual Filings for VBTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,394,337,000 $726,874,000 $582,590,000 $114,201,000 $144,087,000 $96,402,000 $192,986,000
2022 $12,154,361,000 $449,410,000 $262,776,000 $12,842,000 $192,726,000 $2,262,945,000 $56,293,000
2021 $9,757,249,000 $316,484,000 $140,178,000 $147,429,000 $193,491,000 $771,857,000 $148,959,000
2020 $8,820,871,000 $321,850,000 $233,764,000 $111,047,000 $107,650,000 $746,180,000 $-20,725,000
2019 $7,954,937,000 $378,786,000 $262,926,000 $112,730,000 $103,960,000 $109,480,000 $167,101,000
2018 $3,208,550,000 $144,234,000 $93,997,000 $37,691,000 $50,388,000 $285,027,000 $-64,595,000
2017 $2,945,583,000 $79,552,000 $51,371,000 $15,347,000 $26,662,000 $12,446,000 $-85,747,000
2016 $1,408,507,000 $46,595,000 $27,577,000 $11,445,000 $10,685,000 $355,871,000 $163,240,000