Recent Annual Filings for WEAV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $188,926,000 $204,314,000 $235,727,000 $-29,024,000 $14,149,000 $-22,191,000 $840,000
2023 $201,012,000 $170,468,000 $204,834,000 $-30,892,000 $10,221,000 $-13,723,000 $-11,241,000
2022 $208,349,000 $142,117,000 $191,821,000 $-49,736,000 $-12,766,000 $-7,207,000 $-73,999,000
2021 $187,485,000 $115,871,000 $166,262,000 $-51,723,000 $-20,373,000 $110,480,000 $80,298,000