Recent Annual Filings for VTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,186,906,000 $4,924,266,000 $4,932,262,000 $82,250,000 $1,329,625,000 $1,445,220,000 $393,771,000
2023 $24,725,433,000 $4,497,827,000 $4,613,408,000 $-28,295,000 $1,119,873,000 $-543,749,000 $392,717,000
2022 $24,157,840,000 $4,129,193,000 $4,223,330,000 $-15,229,000 $1,120,163,000 $-283,928,000 $-25,852,000
2021 $24,717,786,000 $3,828,007,000 $3,990,392,000 $49,261,000 $1,026,116,000 $-558,466,000 $-255,043,000
2020 $23,929,404,000 $3,795,357,000 $3,714,768,000 $422,972,000 $1,450,176,000 $-1,300,021,000 $305,538,000
2019 $24,692,208,000 $3,872,750,000 $3,513,331,000 $425,846,000 $1,437,783,000 $160,674,000 $14,638,000
2018 $22,584,555,000 $3,745,810,000 $3,360,985,000 $431,519,000 $1,381,467,000 $-1,761,937,000 $-55,974,000
2017 $23,954,541,000 $3,574,149,000 $2,989,438,000 $1,383,526,000 $1,442,180,000 $-671,327,000 $-205,664,000