Recent Annual Filings for VLGEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $981,664,000 $2,236,566,000 $2,163,849,000 $48,907,000 $80,849,000 $-26,485,000 $-23,649,000
2023 $967,706,000 $2,166,654,000 $2,093,929,000 $51,715,000 $104,513,000 $-10,007,000 $6,078,000
2022 $924,448,000 $2,061,084,000 $2,022,020,000 $42,029,000 $79,625,000 $-14,690,000 $18,518,000
2021 $889,004,000 $2,030,330,000 $2,001,477,000 $19,681,000 $52,692,000 $-21,686,000 $4,633,000
2020 $915,546,000 $1,804,594,000 $1,772,861,000 $24,530,000 $83,948,000 $56,268,000 $10,560,000
2019 $502,289,000 $1,643,502,000 $1,607,979,000 $25,382,000 $55,788,000 $-14,495,000 $5,013,000
2018 $481,590,000 $1,612,015,000 $1,579,177,000 $24,301,000 $58,884,000 $-7,661,000 $8,673,000
2017 $455,225,000 $1,604,574,000 $1,565,451,000 $28,854,000 $46,153,000 $-17,426,000 $-944,000