Recent Annual Filings for WINA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,844,500 $81,289,100 $30,065,100 $39,954,200 $42,157,900 $-43,019,700 $-1,056,700
2023 $28,967,700 $83,243,500 $31,882,200 $40,178,100 $43,994,300 $-43,904,500 $-294,100
2022 $30,455,700 $81,410,800 $30,627,300 $39,424,900 $43,789,300 $-37,876,000 $2,243,600
2021 $26,899,000 $78,216,200 $28,348,900 $39,919,900 $48,346,200 $-43,310,100 $4,753,000
2020 $31,343,200 $66,061,800 $27,544,400 $29,823,300 $43,221,300 $-57,558,500 $-18,496,300
2019 $61,842,200 $73,298,900 $31,831,500 $32,149,300 $50,647,200 $-18,864,500 $22,604,300
2018 $46,663,100 $72,511,100 $33,228,000 $30,125,500 $34,937,000 $-33,978,100 $1,412,800
2017 $48,404,800 $69,745,900 $33,314,800 $24,575,000 $25,157,700 $-25,422,600 $-179,700