Recent Annual Filings for VRTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,994,494,000 $906,949,000 $699,073,000 $152,176,000 $1,755,000 $74,947,000 $59,295,000
2023 $3,678,629,000 $845,268,000 $658,704,000 $141,747,000 $237,157,000 $-356,113,000 $-248,165,000
2022 $3,952,934,000 $886,379,000 $722,491,000 $106,250,000 $132,670,000 $-102,057,000 $3,034,000
2021 $3,934,181,000 $979,234,000 $625,564,000 $262,826,000 $665,729,000 $-244,400,000 $246,296,000
2020 $3,466,943,000 $603,896,000 $439,998,000 $119,983,000 $-226,103,000 $235,332,000 $17,910,000
2019 $3,204,634,000 $563,246,000 $422,561,000 $105,522,000 $-36,723,000 $99,558,000 $67,283,000
2018 $2,870,535,000 $552,235,000 $443,194,000 $75,771,000 $-62,555,000 $204,157,000 $20,374,000
2017 $2,590,799,000 $425,607,000 $345,178,000 $39,563,000 $-182,692,000 $750,464,000 $150,778,000