Recent Annual Filings for WAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $80,934,000,000 $68,000,000 $-923,200,000 $766,900,000 $-2,742,000,000 $11,228,500,000 $2,519,500,000
2023 $70,862,000,000 $98,600,000 $-835,000,000 $870,500,000 $-328,600,000 $3,020,400,000 $532,700,000
2022 $67,734,000,000 $2,691,800,000 $1,375,700,000 $380,600,000 $2,245,300,000 $11,411,800,000 $527,000,000
2021 $55,982,600,000 $1,658,700,000 $535,700,000 $822,600,000 $-2,654,000,000 $15,210,600,000 $-2,155,300,000
2020 $36,461,000,000 $1,261,800,000 $639,300,000 $573,900,000 $670,200,000 $9,104,400,000 $2,237,100,000
2019 $26,821,948,000 $1,225,045,000 $620,819,000 $557,801,000 $717,772,000 $2,941,285,000 $-63,976,000
2018 $23,109,486,000 $1,033,483,000 $523,155,000 $406,369,000 $540,972,000 $2,254,265,000 $81,804,000
2017 $20,329,100,000 $845,513,000 $393,696,000 $327,042,000 $383,811,000 $2,703,993,000 $132,277,000