Recent Annual Filings for VNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,310,500,000 $2,979,000,000 $2,481,400,000 $373,300,000 $427,500,000 $-392,300,000 $15,500,000
2023 $4,294,000,000 $3,095,200,000 $2,611,700,000 $375,700,000 $455,000,000 $-387,800,000 $136,400,000
2022 $4,343,300,000 $3,184,400,000 $2,657,000,000 $325,700,000 $321,200,000 $-347,900,000 $-368,100,000
2021 $4,349,800,000 $2,990,700,000 $2,456,700,000 $400,900,000 $481,100,000 $725,500,000 $192,100,000
2020 $3,073,000,000 $2,704,600,000 $2,244,300,000 $387,100,000 $691,300,000 $-283,900,000 $380,500,000