Recent Annual Filings for WHG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $149,989,000 $94,721,000 $90,706,000 $2,215,000 $21,122,000 $-18,084,000 $-1,575,000
2023 $155,167,000 $89,781,000 $76,338,000 $10,571,000 $-1,185,000 $-6,364,000 $-3,437,000
2022 $146,427,000 $68,681,000 $73,876,000 $-4,628,000 $51,490,000 $-9,103,000 $8,653,000
2021 $139,605,000 $73,054,000 $59,051,000 $9,763,000 $19,385,000 $-26,806,000 $2,190,000
2020 $149,152,000 $65,111,000 $68,558,000 $-6,004,000 $-9,770,000 $-25,812,000 $-36,750,000
2019 $178,707,000 $84,079,000 $79,435,000 $7,851,000 $32,172,000 $-31,870,000 $-2,683,000
2018 $190,485,000 $122,300,000 $86,362,000 $23,632,000 $31,484,000 $-34,115,000 $-1,800,000
2017 $192,659,000 $133,785,000 $99,892,000 $22,512,000 $48,009,000 $-28,577,000 $20,570,000