Recent Annual Filings for VRSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,406,500,000 $1,557,400,000 $499,200,000 $785,800,000 $902,600,000 $-1,221,500,000 $-33,400,000
2023 $1,749,000,000 $1,493,100,000 $492,500,000 $817,700,000 $853,800,000 $-889,800,000 $-133,500,000
2022 $1,733,400,000 $1,424,900,000 $481,800,000 $673,900,000 $831,100,000 $-1,035,800,000 $150,200,000
2021 $1,983,764,000 $1,327,576,000 $460,773,000 $784,801,000 $807,152,000 $-719,130,000 $-181,785,000
2020 $1,766,910,000 $1,265,052,000 $440,851,000 $814,753,000 $730,183,000 $-764,877,000 $-107,000,000
2019 $1,854,009,000 $1,231,661,000 $425,534,000 $612,489,000 $753,892,000 $-770,303,000 $150,848,000
2018 $1,914,504,000 $1,214,969,000 $447,577,000 $582,619,000 $697,767,000 $-1,875,325,000 $-108,386,000
2017 $2,941,188,000 $1,165,095,000 $457,373,000 $457,760,000 $702,761,000 $-65,073,000 $233,906,000