Recent Annual Filings for VNO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,998,608,000 $1,787,686,000 $1,744,841,000 $14,071,000 $537,723,000 $-252,323,000 $-311,965,000
2023 $16,187,665,000 $1,811,163,000 $1,749,053,000 $-87,449,000 $648,152,000 $-278,937,000 $240,427,000
2022 $16,493,375,000 $1,799,995,000 $2,160,947,000 $-173,245,000 $798,944,000 $-801,274,000 $-909,194,000
2021 $17,266,588,000 $1,589,210,000 $1,392,153,000 $269,166,000 $761,806,000 $-29,477,000 $199,982,000
2020 $16,221,822,000 $1,527,951,000 $1,953,166,000 $-506,158,000 $424,240,000 $-213,202,000 $123,238,000
2019 $18,287,013,000 $1,924,700,000 $-1,513,031,000 $3,283,130,000 $662,539,000 $-2,235,589,000 $890,226,000
2018 $17,180,794,000 $2,163,720,000 $1,704,122,000 $409,123,000 $802,641,000 $-1,122,826,000 $-1,197,907,000
2017 $17,397,934,000 $2,084,126,000 $1,765,680,000 $274,481,000 $860,142,000 $-338,344,000 $315,481,000