Recent Annual Filings for CWH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,863,277,000 $6,099,974,000 $6,190,231,000 $-78,880,000 $245,159,000 $11,791,000 $168,775,000
2023 $4,845,684,000 $6,226,547,000 $6,177,145,000 $50,601,000 $310,807,000 $-31,885,000 $-90,484,000
2022 $4,800,147,000 $6,967,013,000 $6,516,898,000 $351,031,000 $189,783,000 $95,551,000 $-137,201,000
2021 $4,372,929,000 $6,913,754,000 $6,179,555,000 $642,075,000 $154,004,000 $303,028,000 $101,260,000
2020 $3,256,431,000 $5,446,591,000 $5,044,633,000 $344,215,000 $747,669,000 $-603,183,000 $18,551,000
2019 $3,376,240,000 $4,892,019,000 $4,982,738,000 $-120,301,000 $251,934,000 $-138,433,000 $8,964,000
2018 $2,806,687,000 $4,792,017,000 $4,695,646,000 $65,581,000 $136,292,000 $70,791,000 $-85,606,000
2017 $2,561,477,000 $4,285,255,000 $3,895,299,000 $232,974,000 $-9,094,000 $594,737,000 $109,967,000