Recent Annual Filings for WES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,144,785,000 $3,605,223,000 $2,043,647,000 $1,611,252,000 $2,136,860,000 $-1,280,015,000 $817,677,000
2023 $12,471,607,000 $3,106,476,000 $1,869,770,000 $1,048,007,000 $1,661,334,000 $-67,912,000 $-13,869,000
2022 $11,271,628,000 $3,251,721,000 $1,950,992,000 $1,251,456,000 $1,701,426,000 $-1,398,532,000 $84,657,000
2021 $11,273,079,000 $2,877,155,000 $1,745,573,000 $943,999,000 $1,766,852,000 $-1,752,237,000 $-242,923,000
2020 $11,830,027,000 $2,772,592,000 $2,129,063,000 $516,852,000 $1,637,418,000 $-844,204,000 $344,960,000
2019 $12,346,453,000 $2,746,174,000 $1,750,943,000 $807,700,000 $1,324,100,000 $2,071,573,000 $7,820,000
2018 $9,236,282,000 $1,990,276,000 $1,515,219,000 $454,384,000 $1,020,634,000 $450,798,000 $11,634,000
2017 $8,014,350,000 $2,248,356,000 $1,788,549,000 $578,218,000 $901,495,000 $-417,002,000 $-279,111,000