Recent Annual Filings for WABC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,076,274,000 $268,014,000 $78,955,000 $160,814,000 $141,572,000 $-446,070,000 $411,180,000
2023 $6,364,592,000 $284,013,000 $62,434,000 $227,591,000 $158,208,000 $-809,404,000 $-103,922,000
2022 $6,950,317,000 $221,756,000 $56,165,000 $-183,735,000 $113,702,000 $-320,265,000 $-837,849,000
2021 $7,461,026,000 $173,443,000 $56,416,000 $21,761,000 $88,735,000 $728,159,000 $510,810,000
2020 $6,747,931,000 $165,856,000 $59,053,000 $168,774,000 $107,744,000 $889,032,000 $247,854,000
2019 $5,619,555,000 $158,682,000 $53,466,000 $146,436,000 $80,702,000 $-105,268,000 $-46,863,000
2018 $5,568,526,000 $151,723,000 $60,726,000 $51,883,000 $96,629,000 $2,216,000 $-154,718,000
2017 $5,513,046,000 $133,836,000 $46,664,000 $43,267,000 $80,754,000 $105,235,000 $112,731,000