Recent Annual Filings for VPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $450,935,000 $306,522,000 $288,958,000 $-194,000 $19,815,000 $-9,399,000 $-4,693,000
2023 $471,566,000 $355,048,000 $316,612,000 $28,041,000 $45,893,000 $-35,935,000 $-4,597,000
2022 $476,742,000 $362,580,000 $317,492,000 $30,661,000 $33,029,000 $-3,631,000 $4,227,000
2021 $461,889,000 $317,919,000 $292,007,000 $18,106,000 $33,537,000 $18,816,000 $-14,103,000
2020 $401,887,000 $269,812,000 $251,503,000 $15,832,000 $35,313,000 $-5,031,000 $11,528,000
2019 $370,413,000 $283,958,000 $257,518,000 $22,057,000 $30,932,000 $16,476,000 $-3,249,000
2018 $326,383,000 $299,794,000 $265,805,000 $21,630,000 $35,379,000 $-3,513,000 $15,867,000
2017 $306,551,000 $254,350,000 $233,787,000 $19,281,000 $22,729,000 $-3,006,000 $15,840,000