Recent Annual Filings for VSH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,110,696,000 $2,937,587,000 $2,939,976,000 $-75,384,000 $173,702,000 $-35,403,000 $-382,433,000
2023 $4,239,923,000 $3,402,045,000 $2,934,643,000 $346,677,000 $365,703,000 $61,061,000 $361,894,000
2022 $3,865,653,000 $3,497,401,000 $2,903,896,000 $439,908,000 $484,288,000 $-101,023,000 $-163,283,000
2021 $3,543,257,000 $3,240,487,000 $2,805,877,000 $265,126,000 $457,104,000 $-58,814,000 $154,234,000
2020 $3,154,473,000 $2,501,898,000 $2,343,570,000 $163,988,000 $314,938,000 $-209,382,000 $-74,259,000
2019 $3,120,775,000 $2,668,305,000 $2,442,007,000 $144,935,000 $296,444,000 $-90,025,000 $8,101,000
2018 $3,106,198,000 $3,034,689,000 $2,617,913,000 $315,833,000 $258,506,000 $-575,932,000 $-76,003,000
2017 $3,459,189,000 $2,603,522,000 $2,324,158,000 $100,806,000 $368,777,000 $-77,198,000 $295,730,000