Recent Annual Filings for VFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,612,963,000 $10,454,667,000 $10,488,729,000 $-1,013,695,000 $1,014,581,000 $-959,615,000 $-117,292,000
2023 $13,990,488,000 $11,612,475,000 $11,284,782,000 $25,645,000 $-655,795,000 $463,906,000 $-379,942,000
2022 $13,342,208,000 $11,841,840,000 $10,209,636,000 $1,469,362,000 $864,288,000 $-1,268,847,000 $499,176,000
2021 $13,754,029,000 $9,238,830,000 $8,631,199,000 $329,827,000 $1,313,225,000 $1,052,878,000 $-529,515,000
2020 $11,133,251,000 $10,488,556,000 $9,560,751,000 $637,134,000 $874,527,000 $309,732,000 $854,736,000
2019 $10,356,785,000 $13,848,660,000 $12,172,820,000 $1,221,747,000 $1,664,223,000 $-1,591,005,000 $-132,603,000
2017 $9,958,502,000 $11,811,177,000 $10,308,087,000 $730,246,000 $1,474,660,000 $-1,363,003,000 $-661,629,000
2016 $9,739,287,000 $12,019,003,000 $10,519,777,000 $1,075,865,000 $1,477,919,000 $-1,076,879,000 $282,257,000