Recent Annual Filings for VEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,527,408,000 $135,804,000 $39,413,000 $68,824,000 $37,755,000 $1,016,230,000 $8,903,000
2023 $4,404,573,000 $107,751,000 $36,624,000 $51,063,000 $48,835,000 $535,768,000 $-129,000
2022 $3,748,975,000 $83,148,000 $38,596,000 $32,519,000 $48,674,000 $874,016,000 $14,452,000
2021 $2,812,478,000 $75,973,000 $36,180,000 $39,793,000 $57,622,000 $626,172,000 $27,311,000
2020 $2,102,874,000 $67,447,000 $44,318,000 $17,777,000 $54,892,000 $-149,890,000 $-7,259,000