Recent Annual Filings for VMEO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $622,920,000 $417,214,000 $392,303,000 $22,164,000 $37,785,000 $-11,695,000 $26,602,000
2022 $605,431,000 $433,028,000 $510,693,000 $-80,336,000 $-37,071,000 $-10,588,000 $-47,511,000
2021 $649,361,000 $391,678,000 $443,617,000 $-52,766,000 $15,954,000 $203,058,000 $212,308,000