Recent Annual Filings for VRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,475,422,000 $893,203,000 $1,258,128,000 $-365,540,000 $-533,684,000 $97,340,000 $-263,191,000
2022 $1,619,027,000 $1,948,901,000 $2,420,491,000 $-451,910,000 $-109,065,000 $-469,488,000 $-742,765,000
2021 $2,366,750,000 $3,184,255,000 $3,554,412,000 $-370,911,000 $-568,688,000 $797,712,000 $124,736,000
2020 $1,724,056,000 $1,357,700,000 $1,560,415,000 $-202,799,000 $-355,254,000 $1,237,035,000 $870,452,000