Recent Annual Filings for VVX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,228,843,000 $4,322,155,000 $4,283,314,000 $27,953,000 $254,237,000 $-24,499,000 $195,670,000
2023 $3,081,900,000 $3,963,126,000 $3,987,644,000 $-19,733,000 $187,968,000 $-211,023,000 $-43,416,000
2022 $3,233,103,000 $2,890,860,000 $2,896,968,000 $-13,957,000 $93,495,000 $-193,236,000 $77,554,000