Recent Annual Filings for WEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $47,363,200,000 $8,599,900,000 $6,447,100,000 $1,524,200,000 $3,211,800,000 $467,700,000 $-123,000,000
2023 $43,939,700,000 $8,893,000,000 $6,985,000,000 $1,330,800,000 $3,018,400,000 $522,800,000 $-17,000,000
2022 $41,872,100,000 $9,597,400,000 $7,673,200,000 $1,406,100,000 $2,060,700,000 $676,400,000 $94,700,000
2021 $38,988,500,000 $8,316,000,000 $6,601,100,000 $1,302,100,000 $2,032,700,000 $294,000,000 $14,900,000
2020 $37,028,100,000 $7,241,700,000 $5,535,600,000 $1,198,700,000 $2,196,000,000 $601,100,000 $-9,700,000
2019 $34,951,800,000 $7,523,100,000 $5,991,700,000 $1,133,200,000 $2,345,500,000 $85,600,000 $-63,800,000
2018 $33,475,800,000 $7,679,500,000 $6,211,100,000 $1,055,000,000 $2,445,500,000 $26,400,000 $87,500,000
2017 $31,590,500,000 $7,648,500,000 $5,863,300,000 $1,204,900,000 $2,079,600,000 $161,400,000 $1,400,000