Recent Annual Filings for VIR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,919,060,000 $86,180,000 $770,485,000 $-606,810,000 $-778,785,000 $7,480,000 $-606,676,000
2022 $2,802,088,000 $1,615,797,000 $782,729,000 $507,814,000 $1,663,253,000 $34,761,000 $504,553,000
2021 $1,954,268,000 $1,095,415,000 $674,664,000 $528,763,000 $-47,589,000 $100,331,000 $-88,072,000
2020 $918,761,000 $76,368,000 $374,979,000 $-299,342,000 $-190,941,000 $529,474,000 $328,671,000
2019 $512,071,000 $8,091,000 $182,620,000 $-175,270,000 $-129,632,000 $449,244,000 $63,454,000