Recent Annual Filings for WASH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,930,647,000 $100,651,000 $139,469,000 $-6,077,000 $57,668,000 $-265,267,000 $23,705,000
2023 $7,202,847,000 $193,238,000 $136,757,000 $64,823,000 $31,603,000 $490,999,000 $-28,238,000
2022 $6,660,051,000 $218,592,000 $127,422,000 $-66,138,000 $113,006,000 $825,964,000 $-60,071,000
2021 $5,851,127,000 $228,829,000 $130,642,000 $64,280,000 $100,812,000 $116,312,000 $-23,775,000
2020 $5,713,169,000 $226,886,000 $137,726,000 $73,675,000 $36,478,000 $291,575,000 $63,813,000
2019 $5,292,659,000 $200,494,000 $112,315,000 $86,190,000 $73,435,000 $131,660,000 $44,980,000
2018 $5,010,766,000 $194,404,000 $107,712,000 $63,633,000 $82,876,000 $409,507,000 $10,552,000
2017 $4,529,850,000 $149,586,000 $71,946,000 $46,397,000 $59,385,000 $95,447,000 $-24,874,000