Recent Annual Filings for VIRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,361,743,000 $2,876,949,000 $2,231,979,000 $493,236,000 $598,991,000 $-469,565,000 $58,531,000
2023 $14,466,384,000 $2,293,373,000 $1,968,242,000 $231,885,000 $491,777,000 $-585,032,000 $-182,782,000
2022 $10,583,241,000 $2,364,812,000 $1,808,014,000 $534,943,000 $706,803,000 $-735,745,000 $-82,711,000
2021 $10,319,971,000 $2,811,485,000 $1,814,581,000 $852,558,000 $1,171,626,000 $-957,859,000 $113,948,000
2020 $9,965,798,000 $3,239,331,000 $1,856,494,000 $1,077,212,000 $1,060,884,000 $-839,918,000 $233,725,000
2019 $9,609,370,000 $1,530,082,000 $1,646,064,000 $-105,180,000 $168,771,000 $769,580,000 $37,233,000
2018 $7,380,978,000 $1,878,718,000 $1,182,355,000 $615,065,000 $714,595,000 $-835,482,000 $203,160,000
2017 $7,320,006,000 $1,027,982,000 $914,818,000 $28,015,000 $290,574,000 $889,797,000 $351,472,000