Recent Annual Filings for VTRS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $47,685,500,000 $15,426,900,000 $15,224,000,000 $68,500,000 $2,799,600,000 $-2,301,900,000 $-268,900,000
2022 $50,022,200,000 $16,262,700,000 $13,449,500,000 $1,061,700,000 $2,952,600,000 $-3,877,900,000 $556,300,000
2021 $54,842,800,000 $17,886,300,000 $18,550,700,000 $-2,155,400,000 $3,016,900,000 $-3,012,000,000 $-143,800,000
2020 $61,553,000,000 $11,946,000,000 $12,667,200,000 $269,300,000 $1,231,800,000 $-605,700,000 $358,800,000