Recent Annual Filings for WEYS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $324,086,000 $290,290,000 $250,454,000 $29,697,000 $37,729,000 $-32,221,000 $4,337,000
2023 $309,342,000 $318,048,000 $277,184,000 $33,070,000 $98,631,000 $-45,343,000 $52,046,000
2022 $326,620,000 $351,737,000 $311,998,000 $34,141,000 $-29,904,000 $20,271,000 $-2,207,000
2021 $277,667,000 $267,641,000 $240,296,000 $23,766,000 $6,392,000 $-11,868,000 $-12,765,000
2020 $256,719,000 $195,375,000 $202,429,000 $-11,954,000 $39,981,000 $-20,888,000 $22,677,000
2019 $296,917,000 $304,011,000 $276,927,000 $17,918,000 $9,387,000 $-13,692,000 $-13,174,000
2018 $270,044,000 $298,375,000 $272,618,000 $19,246,000 $13,052,000 $-14,911,000 $-480,000
2017 $262,832,000 $283,749,000 $259,827,000 $15,835,000 $33,517,000 $-24,409,000 $9,743,000