Recent Annual Filings for VNDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $648,440,000 $192,640,000 $206,592,000 $3,672,000 $12,801,000 $-792,000 $-47,000
2022 $634,247,000 $254,382,000 $248,053,000 $5,257,000 $31,984,000 $734,000 $82,908,000
2021 $593,792,000 $268,682,000 $226,517,000 $32,738,000 $64,214,000 $3,550,000 $-9,023,000
2020 $533,456,000 $248,168,000 $220,929,000 $23,327,000 $51,775,000 $5,634,000 $15,963,000
2019 $483,748,000 $227,188,000 $204,378,000 $115,801,000 $45,947,000 $6,264,000 $-16,099,000
2018 $332,130,000 $193,118,000 $171,380,000 $25,243,000 $29,986,000 $107,126,000 $27,414,000
2017 $205,425,000 $165,083,000 $181,986,000 $-15,659,000 $-1,983,000 $5,251,000 $-6,799,000
2016 $210,374,000 $146,017,000 $164,588,000 $-17,991,000 $-8,103,000 $7,751,000 $-10,417,000