Recent Annual Filings for WHLR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $653,702,000 $104,574,000 $72,593,000 $767,000 $25,988,000 $-20,559,000 $20,909,000
2023 $668,332,000 $102,325,000 $75,122,000 $6,083,000 $20,934,000 $-5,471,000 $-16,058,000
2022 $684,536,000 $76,645,000 $54,651,000 $-8,470,000 $30,758,000 $118,200,000 $15,446,000
2021 $465,281,000 $61,310,000 $43,855,000 $-9,351,000 $17,041,000 $-24,491,000 $-2,349,000
2020 $489,379,000 $61,003,000 $42,608,000 $287,000 $15,780,000 $3,160,000 $21,177,000
2019 $484,365,000 $63,162,000 $71,291,000 $-8,144,000 $15,253,000 $-12,529,000 $3,592,000
2018 $508,081,000 $65,709,000 $79,540,000 $-16,906,000 $22,002,000 $6,161,000 $5,713,000
2017 $457,674,000 $58,535,000 $72,694,000 $-12,778,000 $24,761,000 $-22,968,000 $-1,186,000