Recent Annual Filings for WEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,321,600,000 $2,628,100,000 $2,210,300,000 $226,500,000 $481,400,000 $-260,300,000 $-793,000,000
2023 $13,882,100,000 $2,548,000,000 $2,179,200,000 $343,700,000 $907,900,000 $1,573,300,000 $370,300,000
2022 $11,529,229,000 $2,350,511,000 $2,089,965,000 $-16,360,000 $679,425,000 $681,259,000 $602,895,000
2021 $10,306,828,000 $1,850,542,000 $1,646,596,000 $98,522,000 $150,398,000 $1,403,269,000 $-72,815,000
2020 $8,183,361,000 $1,559,869,000 $1,860,950,000 $-252,620,000 $857,019,000 $-179,256,000 $348,272,000
2019 $8,298,418,000 $1,723,691,000 $1,507,175,000 $157,077,000 $663,171,000 $749,773,000 $426,350,000
2018 $6,770,595,000 $1,492,639,000 $1,254,020,000 $141,241,000 $400,229,000 $-102,728,000 $32,646,000
2017 $6,739,175,000 $1,250,548,000 $1,071,853,000 $192,857,000 $132,949,000 $359,385,000 $317,142,000