Recent Annual Filings for VTOL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,937,278,000 $1,297,429,000 $1,244,955,000 $22,494,000 $32,037,000 $22,035,000 $19,979,000
2022 $1,824,279,000 $1,185,204,000 $1,158,795,000 $-32,248,000 $123,854,000 $-63,483,000 $34,935,000
2021 $1,992,270,000 $1,178,062,000 $1,181,925,000 $-54,548,000 $96,845,000 $-245,617,000 $31,958,000