V2X, Inc. (VVX)

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CIK 0001601548 · NYSE · Services-Facilities Support Management Services

  • Sector Services
  • Incorporated IN
  • Fiscal year ends Dec 31

In fiscal 2025, V2X, Inc. reported revenue of $4.48B, up 3.7% from the prior year. The company was profitable, with a net margin of 1.7%. It held $3.28B in total assets against $2.20B in total liabilities.

Key ratios (FY2025)

4.3%
Operating margin
1.7%
Net margin
7.2%
Return on equity
+3.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$4.48B$4.32B$3.96B$2.89B$1.78B$1.40B$1.38B$1.28B$1.11B$1.19B
Cost of Revenue$4.11B$3.98B$3.63B$2.60B$1.62B$1.27B$1.25B$1.16B$1.01B$1.08B
Operating Income$194.27M$159.20M$124.42M$55.77M$62.02M$43.48M$49.65M$48.05M$41.22M$42.83M
Net Income$77.88M$34.68M-$22.57M-$14.33M$45.73M$36.95M$33.18M$35.09M$59.50M$23.66M
EPS (Diluted)$2.45$1.08$-0.73$-0.68$3.86$3.14$2.86$3.08$5.31$2.16
Total Assets$3.28B$3.23B$3.08B$3.23B$889.46M$843.81M$636.39M$572.24M$495.55M$465.31M
Total Liabilities$2.20B$2.20B$2.09B$2.24B$539.37M$538.87M$377.52M$350.94M$312.18M$347.90M
Shareholders' Equity$1.08B$1.03B$990.80M$997.08M$350.09M$304.94M$258.87M$220.32M$182.61M$117.40M
Cash & Equivalents$116.07M$38.51M$66.95M$35.32M
Operating Cash Flow$181.99M$254.24M$187.97M$93.50M$61.34M$64.08M$27.56M$40.06M$35.41M$36.62M
Capital Expenditures$11.92M$11.79M$25.02M$12.43M$9.78M$4.50M$16.15M$10.03M$2.34M$741.0K
Shares Outstanding31.82M31.97M31.08M21.00M11.84M11.75M11.61M11.38M11.21M10.97M