Recent Annual Filings for WEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,034,843,000 $2,246,492,000 $1,875,133,000 $177,979,000 $355,307,000 $-303,098,000 $-85,208,000
2023 $5,182,826,000 $2,181,578,000 $1,799,594,000 $210,241,000 $345,416,000 $-504,303,000 $-242,985,000
2022 $5,101,391,000 $1,896,998,000 $1,530,038,000 $201,833,000 $345,772,000 $-242,742,000 $-51,275,000
2020 $5,040,006,000 $1,733,825,000 $1,464,517,000 $122,019,000 $284,361,000 $-157,907,000 $59,534,000
2019 $4,994,529,000 $1,709,002,000 $1,446,423,000 $144,785,000 $288,933,000 $-365,296,000 $-127,805,000
2018 $4,292,035,000 $1,589,936,000 $1,340,044,000 $444,640,000 $224,228,000 $-305,762,000 $273,688,000
2017 $4,096,938,000 $1,223,408,000 $1,008,650,000 $211,072,000 $251,640,000 $-217,084,000 $-26,793,000
2015 $4,108,720,000 $1,870,297,000 $1,595,827,000 $121,613,000 $212,480,000 $-175,724,000 $72,136,000