Recent Annual Filings for VCTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,547,591,000 $893,477,000 $519,721,000 $276,219,000 $339,979,000 $-332,763,000 $3,184,000
2023 $2,542,616,000 $821,028,000 $545,120,000 $209,043,000 $330,291,000 $-237,132,000 $85,376,000
2022 $2,540,899,000 $854,800,000 $504,767,000 $304,981,000 $335,211,000 $-360,186,000 $-31,362,000
2021 $2,579,746,000 $890,265,000 $539,623,000 $291,821,000 $376,196,000 $227,217,000 $46,789,000
2020 $1,730,729,000 $775,351,000 $496,811,000 $205,062,000 $250,616,000 $-252,696,000 $-14,377,000
2019 $1,753,309,000 $612,373,000 $491,685,000 $92,515,000 $227,384,000 $608,016,000 $-14,370,000
2018 $801,511,000 $413,412,000 $328,501,000 $63,554,000 $134,345,000 $-84,161,000 $38,570,000