Recent Annual Filings for WAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,553,795,000 $2,958,387,000 $2,132,034,000 $616,671,000 $762,123,000 $-696,675,000 $-70,655,000
2023 $4,626,854,000 $2,956,416,000 $2,138,740,000 $649,686,000 $602,809,000 $754,951,000 $-85,453,000
2022 $3,281,453,000 $2,971,956,000 $2,098,561,000 $678,048,000 $611,661,000 $-509,633,000 $-20,705,000
2021 $3,094,932,000 $2,785,874,000 $1,964,167,000 $698,921,000 $747,274,000 $-438,275,000 $64,539,000
2020 $2,839,920,000 $2,365,365,000 $1,719,876,000 $523,099,000 $790,507,000 $-440,502,000 $100,980,000
2019 $2,557,055,000 $2,406,596,000 $1,698,139,000 $590,698,000 $643,087,000 $-1,872,678,000 $-460,565,000
2018 $3,727,426,000 $2,419,929,000 $1,680,155,000 $585,890,000 $604,446,000 $-2,119,522,000 $153,961,000
2017 $5,324,354,000 $2,309,078,000 $1,647,220,000 $126,524,000 $697,640,000 $-63,869,000 $136,688,000