Recent Annual Filings for VSAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,329,364,000 $4,283,758,000 $5,477,704,000 $-1,044,474,000 $688,196,000 $1,124,356,000 $521,372,000
2023 $7,730,337,000 $2,556,158,000 $2,718,313,000 $1,077,656,000 $367,861,000 $-66,128,000 $1,069,770,000
2022 $6,389,346,000 $2,787,635,000 $2,804,074,000 $-33,907,000 $505,641,000 $643,630,000 $14,510,000
2021 $5,349,467,000 $2,256,107,000 $2,230,121,000 $32,952,000 $727,215,000 $149,691,000 $-8,360,000
2020 $4,883,868,000 $2,309,238,000 $2,307,810,000 $2,427,000 $436,936,000 $365,185,000 $42,608,000
2019 $3,915,287,000 $2,068,258,000 $2,178,739,000 $-76,696,000 $327,551,000 $354,617,000 $190,255,000
2018 $3,414,109,000 $1,594,625,000 $1,700,095,000 $-52,423,000 $358,633,000 $165,776,000 $-58,652,000
2017 $2,954,653,000 $1,559,337,000 $1,533,953,000 $19,256,000 $411,298,000 $392,784,000 $88,010,000