Recent Annual Filings for VCYT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,114,906,000 $361,051,000 $446,846,000 $-67,076,000 $44,222,000 $2,837,000 $62,334,000
2022 $1,156,422,000 $296,536,000 $337,617,000 $-52,823,000 $7,535,000 $3,494,000 $-18,950,000
2021 $1,187,825,000 $219,514,000 $301,417,000 $-90,646,000 $-31,621,000 $596,320,000 $-176,021,000
2020 $457,163,000 $117,483,000 $152,872,000 $-34,909,000 $-9,711,000 $203,595,000 $190,047,000
2019 $275,212,000 $120,368,000 $135,495,000 $-12,599,000 $-3,232,000 $127,287,000 $81,322,000
2018 $120,638,000 $92,008,000 $115,008,000 $-22,999,000 $-13,521,000 $59,499,000 $44,104,000
2017 $78,669,000 $71,953,000 $102,953,000 $-31,003,000 $-23,915,000 $-218,000 $-25,328,000
2016 $101,034,000 $65,085,000 $96,485,000 $-31,358,000 $-27,982,000 $52,329,000 $20,135,000