Recent Annual Filings for VMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,104,800,000 $7,417,700,000 $6,245,600,000 $929,500,000 $1,409,600,000 $1,056,900,000 $-348,400,000
2023 $14,545,700,000 $7,781,900,000 $6,536,800,000 $945,800,000 $1,536,800,000 $-585,600,000 $787,700,000
2022 $14,234,600,000 $7,315,200,000 $6,527,100,000 $574,500,000 $1,148,200,000 $-175,200,000 $-80,000,000
2021 $13,682,600,000 $5,552,200,000 $4,678,400,000 $699,000,000 $1,011,900,000 $-94,300,000 $-956,500,000
2020 $11,686,905,000 $4,856,826,000 $4,113,028,000 $600,913,000 $1,070,359,000 $234,662,000 $923,507,000
2019 $10,648,793,000 $4,929,103,000 $4,171,402,000 $592,139,000 $984,122,000 $-338,183,000 $230,102,000
2018 $9,832,130,000 $4,382,869,000 $3,759,579,000 $522,685,000 $832,777,000 $-265,128,000 $-102,242,000
2017 $9,504,891,000 $3,890,296,000 $3,528,980,000 $591,095,000 $644,678,000 $503,440,000 $-121,373,000