Recent Annual Filings for WBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $81,037,000,000 $147,658,000,000 $161,877,000,000 $-15,348,000,000 $1,018,000,000 $-538,000,000 $2,362,000,000
2023 $96,628,000,000 $139,081,000,000 $144,500,000,000 $-3,704,000,000 $2,258,000,000 $-887,000,000 $-1,703,000,000
2022 $90,124,000,000 $132,703,000,000 $128,718,000,000 $3,337,000,000 $3,899,000,000 $-1,499,000,000 $1,289,000,000
2021 $81,285,000,000 $132,509,000,000 $130,514,000,000 $4,181,000,000 $5,555,000,000 $-9,036,000,000 $525,000,000
2020 $87,174,000,000 $139,537,000,000 $138,794,000,000 $572,000,000 $5,484,000,000 $-4,647,000,000 $-461,000,000
2019 $67,598,000,000 $136,866,000,000 $132,339,000,000 $3,053,000,000 $5,594,000,000 $-3,047,000,000 $231,000,000
2018 $68,124,000,000 $131,537,000,000 $125,562,000,000 $5,081,000,000 $8,265,000,000 $-5,295,000,000 $-2,516,000,000
2017 $66,009,000,000 $118,214,000,000 $113,361,000,000 $4,006,000,000 $7,251,000,000 $-12,934,000,000 $-6,506,000,000