Recent Annual Filings for WERN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,052,237,000 $3,030,258,000 $2,964,110,000 $24,817,000 $329,734,000 $-105,716,000 $-20,971,000
2023 $3,157,936,000 $3,283,499,000 $3,107,083,000 $113,898,000 $474,366,000 $-87,067,000 $-45,517,000
2022 $3,097,255,000 $3,289,978,000 $2,966,902,000 $254,892,000 $448,711,000 $118,034,000 $53,044,000
2021 $2,603,713,000 $2,734,372,000 $2,425,226,000 $263,707,000 $332,819,000 $89,668,000 $24,862,000
2020 $2,156,676,000 $2,372,178,000 $2,144,740,000 $160,973,000 $445,909,000 $-185,962,000 $-4,108,000
2019 $2,143,864,000 $2,463,701,000 $2,238,229,000 $168,289,000 $426,644,000 $-155,219,000 $-488,000
2018 $2,083,504,000 $2,457,914,000 $2,233,699,000 $167,910,000 $418,159,000 $-67,612,000 $18,799,000
2017 $1,807,991,000 $2,116,737,000 $1,972,917,000 $203,971,000 $281,838,000 $-101,416,000 $-3,336,000