Recent Annual Filings for CWST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,230,068,000 $1,557,283,000 $1,484,522,000 $17,928,000 $281,355,000 $551,645,000 $162,391,000
2023 $2,535,470,000 $1,264,542,000 $1,184,115,000 $16,777,000 $233,092,000 $922,304,000 $149,760,000
2022 $1,449,215,000 $1,085,089,000 $989,695,000 $65,724,000 $217,314,000 $26,949,000 $37,343,000
2021 $1,283,580,000 $889,211,000 $811,551,000 $47,514,000 $182,737,000 $-10,116,000 $-120,533,000
2020 $1,193,898,000 $774,584,000 $715,287,000 $85,630,000 $139,922,000 $150,981,000 $150,871,000
2019 $932,182,000 $743,290,000 $690,215,000 $26,920,000 $116,829,000 $60,097,000 $-536,000
2018 $732,410,000 $660,660,000 $620,927,000 $4,946,000 $120,834,000 $45,375,000 $2,012,000
2017 $614,949,000 $599,309,000 $611,892,000 $-21,547,000 $107,538,000 $-31,640,000 $-549,000