Recent Annual Filings for WHD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,522,561,000 $1,096,960,000 $834,584,000 $215,079,000 $340,280,000 $103,275,000 $-210,735,000
2022 $1,118,896,000 $688,369,000 $511,817,000 $143,814,000 $117,884,000 $-47,382,000 $42,858,000
2021 $982,078,000 $438,589,000 $363,444,000 $66,903,000 $63,759,000 $-39,388,000 $13,010,000
2020 $815,594,000 $348,566,000 $278,381,000 $60,590,000 $143,380,000 $-40,206,000 $86,056,000
2019 $834,964,000 $628,414,000 $440,091,000 $156,671,000 $209,632,000 $-21,669,000 $131,762,000
2018 $584,744,000 $544,135,000 $374,334,000 $149,379,000 $167,180,000 $-35,004,000 $63,267,000