Recent Annual Filings for WING

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $377,825,000 $460,055,000 $365,745,000 $70,471,000 $121,601,000 $-155,487,000 $-86,039,000
2022 $424,190,000 $357,521,000 $288,205,000 $52,566,000 $76,238,000 $103,254,000 $150,809,000
2021 $249,203,000 $282,502,000 $223,595,000 $42,402,000 $48,878,000 $-23,389,000 $-4,364,000
2020 $211,565,000 $248,811,000 $221,868,000 $23,306,000 $65,530,000 $-19,448,000 $38,095,000
2019 $166,113,000 $199,676,000 $173,911,000 $20,476,000 $38,583,000 $-14,617,000 $235,000
2018 $139,749,000 $153,181,000 $126,254,000 $21,719,000 $38,770,000 $-13,724,000 $14,548,000
2017 $119,836,000 $105,552,000 $74,403,000 $27,304,000 $27,049,000 $-20,252,000 $313,000
2016 $111,800,000 $91,359,000 $66,806,000 $15,434,000 $22,166,000 $-27,050,000 $-6,940,000