Recent Annual Filings for WCC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,060,900,000 $22,385,200,000 $21,393,200,000 $753,900,000 $493,200,000 $-403,900,000 $-3,200,000
2022 $14,811,686,000 $21,420,116,000 $20,283,465,000 $661,347,000 $11,038,000 $584,035,000 $314,765,000
2021 $12,617,699,000 $18,217,512,000 $17,635,600,000 $435,073,000 $67,138,000 $-310,779,000 $-236,552,000
2020 $11,880,214,000 $12,325,995,000 $12,203,153,000 $175,059,000 $543,931,000 $3,480,741,000 $298,233,000
2019 $5,017,635,000 $8,358,917,000 $8,076,856,000 $264,089,000 $224,367,000 $-109,766,000 $54,559,000
2018 $4,605,036,000 $8,176,601,000 $7,895,576,000 $131,498,000 $296,721,000 $-275,094,000 $-21,610,000
2017 $4,735,468,000 $7,679,021,000 $7,426,581,000 $242,841,000 $149,122,000 $-141,196,000 $7,822,000
2016 $4,490,984,000 $7,336,017,000 $7,204,466,000 $137,378,000 $300,235,000 $-276,263,000 $-50,148,000