Recent Annual Filings for VEEV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $7,339,756,000 $2,746,619,000 $1,827,238,000 $716,359,000 $1,090,051,000 $26,115,000 $414,293,000
2024 $5,910,920,000 $2,363,673,000 $1,775,650,000 $546,197,000 $911,339,000 $-16,188,000 $-182,980,000
2023 $4,804,296,000 $2,155,060,000 $1,645,964,000 $468,535,000 $780,470,000 $-19,376,000 $-251,575,000
2022 $3,816,465,000 $1,850,777,000 $1,338,466,000 $414,440,000 $764,463,000 $-4,140,000 $409,514,000
2021 $3,046,067,000 $1,465,069,000 $1,071,076,000 $380,530,000 $551,246,000 $33,818,000 $251,914,000
2020 $2,271,777,000 $1,104,081,000 $790,384,000 $300,649,000 $437,375,000 $10,010,000 $-72,381,000
2019 $1,653,766,000 $862,210,000 $623,567,000 $229,160,000 $310,827,000 $25,910,000 $230,791,000
2018 $1,197,008,000 $685,571,000 $526,937,000 $143,259,000 $233,437,000 $20,773,000 $102,577,000