Recent Annual Filings for WDFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $437,966,000 $537,255,000 $452,092,000 $70,996,000 $98,391,000 $-85,048,000 $10,300,000
2022 $434,295,000 $518,820,000 $434,712,000 $57,150,000 $2,604,000 $-38,011,000 $-48,118,000
2021 $430,203,000 $488,109,000 $401,610,000 $72,407,000 $84,714,000 $-40,749,000 $29,499,000
2020 $362,637,000 $408,498,000 $332,983,000 $64,984,000 $72,664,000 $-26,709,000 $29,229,000
2019 $302,662,000 $423,350,000 $342,580,000 $51,160,000 $62,851,000 $-69,009,000 $-21,633,000
2018 $317,059,000 $408,518,000 $333,340,000 $65,654,000 $64,822,000 $-121,409,000 $11,784,000
2017 $369,717,000 $380,506,000 $305,884,000 $52,153,000 $52,337,000 $-23,603,000 $-13,809,000
2016 $339,668,000 $380,670,000 $307,881,000 $34,052,000 $60,604,000 $-38,536,000 $-3,005,000