Recent Annual Filings for WGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,384,200,000 $2,973,500,000 $2,935,100,000 $13,000,000 $143,900,000 $-77,000,000 $21,000,000
2023 $2,432,400,000 $3,490,700,000 $3,211,500,000 $215,900,000 $294,500,000 $-96,800,000 $27,700,000
2022 $2,416,657,000 $4,957,730,000 $4,443,008,000 $390,673,000 $400,622,000 $-237,343,000 $-152,391,000
2021 $2,062,567,000 $3,629,847,000 $3,262,397,000 $281,906,000 $237,279,000 $-62,282,000 $141,988,000
2020 $1,713,700,000 $2,355,533,000 $2,278,257,000 $61,407,000 $270,434,000 $277,786,000 $255,144,000
2019 $1,104,231,000 $1,985,674,000 $1,846,765,000 $110,415,000 $133,750,000 $-59,725,000 $35,089,000
2018 $1,051,805,000 $2,016,829,000 $1,874,189,000 $104,331,000 $83,346,000 $-5,188,000 $-33,603,000
2017 $902,512,000 $1,547,119,000 $1,438,520,000 $59,332,000 $97,127,000 $258,620,000 $-49,638,000