Recent Annual Filings for WLDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $464,863,000 $565,798,000 $539,119,000 $22,920,000 $72,073,000 $-5,569,000 $50,761,000
2023 $415,588,000 $510,095,000 $495,504,000 $10,262,000 $39,214,000 $-23,845,000 $3,912,000
2022 $409,674,000 $429,138,000 $440,590,000 $-8,410,000 $9,433,000 $8,358,000 $8,264,000
2021 $394,422,000 $353,755,000 $366,159,000 $-7,967,000 $9,804,000 $-18,534,000 $-17,184,000
2020 $410,323,000 $390,980,000 $410,649,000 $-14,588,000 $47,025,000 $-19,013,000 $22,953,000
2019 $439,913,000 $443,099,000 $438,443,000 $4,445,000 $11,621,000 $56,920,000 $-9,807,000
2018 $301,836,000 $272,252,000 $260,091,000 $10,030,000 $7,568,000 $119,657,000 $835,000
2017 $138,172,000 $273,352,000 $259,661,000 $12,129,000 $11,069,000 $-2,532,000 $-8,244,000