Recent Annual Filings for VMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,329,972,000 $4,075,034,000 $3,606,353,000 $290,409,000 $572,678,000 $-522,560,000 $-38,726,000
2023 $3,477,448,000 $4,174,598,000 $3,938,146,000 $147,737,000 $306,775,000 $-176,405,000 $17,635,000
2022 $3,556,996,000 $4,345,250,000 $3,981,362,000 $241,154,000 $326,265,000 $-181,905,000 $8,174,000
2021 $3,447,249,000 $3,501,575,000 $3,241,492,000 $243,265,000 $65,938,000 $133,500,000 $-223,494,000
2020 $2,953,160,000 $2,895,355,000 $2,702,587,000 $147,757,000 $316,294,000 $-173,756,000 $47,184,000
2019 $2,763,411,000 $2,766,976,000 $2,557,303,000 $149,037,000 $307,614,000 $-98,950,000 $40,332,000
2018 $2,530,274,000 $2,757,144,000 $2,613,703,000 $78,772,000 $153,008,000 $-162,110,000 $-179,595,000
2017 $2,602,250,000 $2,745,967,000 $2,517,503,000 $189,106,000 $145,716,000 $-32,010,000 $92,857,000