Recent Annual Filings for VG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2021 $1,388,144,000 $1,409,015,000 $1,429,077,000 $-39,034,000 $158,711,000 $-117,257,000 $-24,688,000
2020 $1,395,836,000 $1,247,934,000 $1,279,929,000 $-9,553,000 $83,880,000 $-10,850,000 $19,362,000
2019 $1,364,700,000 $1,189,346,000 $1,215,454,000 $-16,923,000 $92,926,000 $-21,921,000 $18,531,000
2018 $1,259,488,000 $1,048,782,000 $1,012,257,000 $28,489,000 $123,205,000 $258,212,000 $-26,223,000
2017 $858,681,000 $1,002,286,000 $956,493,000 $-6,330,000 $128,058,000 $-96,242,000 $2,398,000
2016 $940,422,000 $955,621,000 $924,776,000 $5,990,000 $87,012,000 $74,498,000 $-28,648,000
2015 $784,566,000 $895,072,000 $851,619,000 $24,050,000 $129,731,000 $40,205,000 $16,929,000
2014 $675,302,000 $868,953,000 $827,746,000 $15,806,000 $92,542,000 $-14,239,000 $-43,866,000