Recent Annual Filings for VRNS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,103,910,000 $499,160,000 $586,078,000 $-100,008,000 $59,416,000 $-53,400,000 $-137,060,000
2022 $1,043,732,000 $473,634,000 $584,449,000 $-140,158,000 $11,871,000 $-75,581,000 $-437,961,000
2021 $1,108,537,000 $390,134,000 $500,973,000 $-120,149,000 $7,178,000 $510,112,000 $571,669,000
2020 $555,482,000 $292,689,000 $378,587,000 $-84,190,000 $-5,842,000 $225,753,000 $165,163,000
2019 $318,312,000 $254,190,000 $330,566,000 $-75,580,000 $-10,683,000 $-2,398,000 $20,222,000
2018 $284,978,000 $270,288,000 $298,453,000 $-32,347,000 $23,545,000 $8,114,000 $-8,529,000
2017 $232,152,000 $217,364,000 $228,599,000 $-13,079,000 $16,351,000 $12,083,000 $8,433,000
2016 $181,838,000 $164,456,000 $181,035,000 $-17,858,000 $7,347,000 $4,072,000 $-926,000