Recent Annual Filings for WAFD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $22,474,675,000 $26,050,000 $-299,026,000 $251,866,000 $213,957,000 $1,460,644,000 $296,684,000
2022 $20,772,131,000 $25,942,000 $-274,095,000 $219,026,000 $268,465,000 $817,855,000 $-1,406,844,000
2021 $19,650,574,000 $24,686,000 $-208,452,000 $236,447,000 $314,454,000 $653,123,000 $387,832,000
2020 $18,794,055,000 $23,691,000 $-195,495,000 $175,099,000 $166,600,000 $2,038,198,000 $1,283,819,000
2019 $16,474,910,000 $671,466,000 $408,691,000 $217,254,000 $234,054,000 $337,827,000 $150,508,000
2018 $15,865,724,000 $607,083,000 $349,840,000 $207,129,000 $190,702,000 $439,323,000 $-44,420,000
2017 $15,253,580,000 $548,918,000 $292,702,000 $189,703,000 $179,700,000 $227,538,000 $-137,298,000
2016 $14,888,063,000 $536,793,000 $288,659,000 $152,540,000 $221,721,000 $75,662,000 $166,319,000