Recent Annual Filings for VNOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,069,040,000 $860,387,000 $356,452,000 $603,646,000 $619,608,000 $-10,053,000 $982,000
2023 $3,974,093,000 $827,697,000 $280,404,000 $501,341,000 $638,192,000 $277,863,000 $7,690,000
2022 $2,920,373,000 $866,467,000 $244,116,000 $655,004,000 $699,796,000 $-768,636,000 $-21,269,000
2021 $3,034,021,000 $504,917,000 $246,719,000 $256,677,000 $307,114,000 $-5,611,000 $20,327,000
2020 $2,461,375,000 $250,626,000 $301,573,000 $-193,413,000 $196,556,000 $-164,754,000 $15,519,000
2019 $2,785,626,000 $298,283,000 $118,655,000 $221,210,000 $236,691,000 $274,807,000 $-19,074,000
2018 $1,654,064,000 $288,820,000 $98,308,000 $262,877,000 $244,493,000 $368,239,000 $-1,521,000
2017 $1,013,037,000 $172,033,000 $58,212,000 $139,219,000 $219,844,000 $14,984,000