Recent Annual Filings for VRRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,789,983,000 $103,570,000 $628,496,000 $59,704,000 $206,101,000 $-117,793,000 $30,018,000
2022 $1,756,269,000 $94,318,000 $576,893,000 $84,704,000 $218,337,000 $-164,932,000 $4,813,000
2021 $1,837,056,000 $550,590,000 $438,724,000 $36,144,000 $193,171,000 $268,722,000 $-14,077,000
2020 $1,367,325,000 $393,593,000 $355,777,000 $-657,000 $46,909,000 $-34,004,000 $-11,248,000
2019 $1,407,426,000 $448,737,000 $352,282,000 $36,587,000 $133,802,000 $-14,520,000 $65,349,000
2018 $1,344,783,195 $370,145,720 $357,539,551 $-64,214,828 $46,016,827 $574,268,333 $56,571,770