Recent Annual Filings for VSEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,350,338,000 $860,488,000 $803,575,000 $36,298,000 $-21,829,000 $264,971,000 $7,452,000
2022 $999,789,000 $949,762,000 $912,516,000 $33,203,000 $8,051,000 $-5,714,000 $-40,000
2021 $918,558,000 $750,853,000 $741,402,000 $8,993,000 $-17,602,000 $79,374,000 $140,000
2020 $780,081,000 $661,659,000 $661,232,000 $-5,269,000 $35,761,000 $-56,336,000 $-356,000
2019 $845,864,000 $752,627,000 $706,200,000 $35,773,000 $17,994,000 $105,385,000 $572,000
2018 $638,828,000 $697,218,000 $651,970,000 $35,045,000 $18,855,000 $-18,022,000 $-462,000
2017 $629,013,000 $760,113,000 $715,028,000 $39,232,000 $50,420,000 $-47,213,000 $196,000
2016 $661,839,000 $691,790,000 $650,116,000 $26,913,000 $47,193,000 $-41,039,000 $-312,000