Recent Annual Filings for WELL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $44,012,166,000 $6,637,995,000 $6,287,948,000 $336,964,000 $1,601,861,000 $5,448,647,000 $1,353,791,000
2022 $37,893,233,000 $5,860,615,000 $5,687,553,000 $136,278,000 $1,328,708,000 $2,761,277,000 $375,537,000
2021 $34,910,325,000 $4,742,115,000 $4,571,365,000 $401,355,000 $1,275,325,000 $1,567,664,000 $-1,674,288,000
2020 $32,483,642,000 $4,605,967,000 $4,637,519,000 $1,008,095,000 $1,364,756,000 $-2,080,858,000 $1,635,277,000
2019 $33,380,751,000 $5,121,306,000 $4,578,414,000 $1,361,745,000 $1,535,968,000 $577,150,000 $69,637,000
2018 $30,342,072,000 $4,700,499,000 $4,277,009,000 $788,462,000 $1,583,944,000 $818,368,000 $6,826,000