Recent Annual Filings for VICI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $45,368,940,000 $3,849,205,000 $1,118,259,000 $2,711,791,000 $2,381,498,000 $-1,457,121,000 $2,041,000
2023 $44,059,841,000 $3,611,988,000 $1,063,507,000 $2,522,771,000 $2,181,009,000 $1,031,790,000 $313,641,000
2022 $37,575,826,000 $2,600,697,000 $1,461,554,000 $1,320,584,000 $1,943,396,000 $6,829,937,000 $-530,681,000
2021 $17,597,373,000 $1,509,568,000 $483,523,000 $1,107,256,000 $896,350,000 $-514,178,000 $423,621,000
2020 $17,063,613,000 $1,225,574,000 $328,535,000 $864,231,000 $883,640,000 $2,879,219,000 $-785,900,000
2019 $13,265,619,000 $894,798,000 $338,812,000 $503,010,000 $682,159,000 $1,182,666,000 $503,446,000
2018 $11,333,368,000 $897,977,000 $364,419,000 $501,495,000 $504,082,000 $1,037,836,000 $401,041,000