Recent Annual Filings for VOYA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $157,085,000,000 $7,348,000,000 $6,670,000,000 $1,384,000,000 $1,638,000,000 $-4,059,000,000 $111,000,000
2022 $147,652,000,000 $5,922,000,000 $5,494,000,000 $-3,461,000,000 $1,352,000,000 $28,000,000 $-566,000,000
2021 $171,262,000,000 $4,230,000,000 $1,453,000,000 $89,000,000 $72,000,000 $-265,000,000 $-520,000,000
2020 $180,518,000,000 $7,649,000,000 $7,297,000,000 $1,518,000,000 $1,209,000,000 $1,702,000,000 $450,000,000
2019 $169,051,000,000 $7,476,000,000 $6,916,000,000 $2,080,000,000 $1,310,000,000 $-121,000,000 $-66,000,000
2018 $154,682,000,000 $8,514,000,000 $7,904,000,000 $-1,084,000,000 $1,868,000,000 $-1,764,000,000 $-178,000,000
2017 $222,532,000,000 $8,618,000,000 $8,090,000,000 $-1,982,000,000 $1,578,000,000 $-345,000,000 $-1,195,000,000
2016 $214,235,100,000 $10,782,200,000 $11,395,600,000 $198,100,000 $3,586,000,000 $495,400,000 $398,000,000