Recent Annual Filings for VRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,982,727,000 $271,074,000 $237,078,000 $-28,473,000 $52,328,000 $-244,648,000 $-30,269,000
2023 $3,241,046,000 $279,859,000 $310,373,000 $-114,736,000 $45,540,000 $-618,260,000 $6,930,000
2022 $3,920,768,000 $355,018,000 $436,666,000 $-30,519,000 $66,454,000 $-290,348,000 $-3,806,000
2021 $4,527,318,000 $329,317,000 $365,592,000 $-109,529,000 $56,115,000 $-503,191,000 $-847,000