Recent Annual Filings for WD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,381,993,000 $1,132,490,000 $1,000,989,000 $109,232,000 $129,359,000 $-154,729,000 $-63,505,000
2023 $4,052,347,000 $1,054,440,000 $916,243,000 $108,446,000 $-518,000 $6,769,000 $133,120,000
2022 $4,045,359,000 $1,258,753,000 $993,788,000 $209,694,000 $1,582,704,000 $-1,583,824,000 $-134,897,000
2021 $5,205,989,000 $1,259,178,000 $907,120,000 $266,352,000 $870,455,000 $-457,726,000 $35,178,000
2020 $4,650,975,000 $1,083,707,000 $753,441,000 $247,408,000 $-1,411,370,000 $1,517,627,000 $221,436,000
2019 $2,675,199,000 $817,219,000 $586,868,000 $174,185,000 $427,561,000 $-331,638,000 $16,218,000
2018 $2,782,057,000 $725,246,000 $512,396,000 $161,271,000 $64,076,000 $321,830,000 $-166,332,000
2017 $2,208,427,000 $711,857,000 $478,196,000 $211,834,000 $1,067,642,000 $-1,089,491,000 $82,287,000