Recent Annual Filings for WDAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $17,977,000,000 $8,446,000,000 $7,808,000,000 $589,000,000 $2,461,000,000 $-1,150,000,000 $-470,000,000
2024 $16,452,000,000 $7,259,000,000 $6,903,000,000 $1,349,000,000 $2,149,000,000 $-268,000,000 $129,000,000
2023 $13,486,238,000 $6,215,818,000 $6,475,768,000 $-321,407,000 $1,657,195,000 $1,203,821,000 $354,495,000
2022 $10,498,505,000 $5,138,798,000 $5,122,616,000 $92,052,000 $1,650,704,000 $110,251,000 $152,824,000
2021 $8,718,411,000 $4,317,996,000 $4,593,130,000 $-360,893,000 $1,268,441,000 $625,049,000 $653,200,000
2020 $6,816,365,000 $3,627,206,000 $4,109,653,000 $-456,373,000 $864,598,000 $125,124,000 $92,518,000
2019 $5,520,746,000 $2,822,180,000 $3,245,932,000 $-372,654,000 $606,658,000 $-256,711,000 $-493,451,000
2018 $4,947,424,000 $2,143,050,000 $2,457,836,000 $-369,706,000 $465,727,000 $1,106,262,000 $593,760,000