Recent Annual Filings for VRNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,290,049,000 $909,186,000 $810,838,000 $73,122,000 $157,447,000 $-99,684,000 $-26,962,000
2024 $2,226,424,000 $910,387,000 $849,115,000 $50,771,000 $150,642,000 $-153,354,000 $-39,492,000
2023 $2,313,601,000 $902,245,000 $847,483,000 $-19,925,000 $139,816,000 $-157,907,000 $-76,707,000
2022 $2,361,105,000 $874,509,000 $835,005,000 $34,014,000 $125,599,000 $-430,123,000 $-341,265,000
2021 $3,261,295,000 $1,273,705,000 $1,257,482,000 $15,192,000 $253,846,000 $71,933,000 $288,476,000
2020 $3,016,058,000 $1,303,634,000 $1,250,331,000 $29,033,000 $237,904,000 $-111,322,000 $-1,042,000
2019 $2,867,027,000 $1,229,747,000 $1,151,985,000 $28,399,000 $215,251,000 $-21,881,000 $14,489,000
2018 $2,580,620,000 $1,135,229,000 $1,116,329,000 $48,462,000 $176,327,000 $-5,503,000 $30,579,000