Recent Annual Filings for WBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $74,945,249,000 $233,404,000 $-851,100,000 $1,002,229,000 $978,649,000 $2,492,955,000 $875,852,000
2022 $71,277,521,000 $268,672,000 $-529,305,000 $-18,097,000 $1,335,952,000 $6,228,759,000 $378,373,000
2021 $34,915,599,000 $212,406,000 $-321,455,000 $344,028,000 $688,592,000 $1,914,963,000 $198,466,000
2020 $32,590,690,000 $1,002,049,000 $722,075,000 $298,949,000 $380,549,000 $1,913,269,000 $5,209,000
2019 $30,389,344,000 $1,154,583,000 $667,891,000 $382,723,000 $303,850,000 $2,174,302,000 $-71,604,000
2018 $27,610,315,000 $200,673,000 $-240,960,000 $321,297,000 $469,408,000 $921,229,000 $29,264,000
2017 $26,487,645,000 $913,605,000 $559,815,000 $256,549,000 $444,966,000 $122,749,000 $40,495,000
2016 $26,072,529,000 $821,913,000 $518,463,000 $208,240,000 $398,145,000 $1,227,831,000 $-9,030,000