Recent Annual Filings for WLFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,297,196,000 $569,223,000 $424,825,000 $103,870,000 $284,406,000 $444,975,000 $-35,527,000
2023 $2,652,344,000 $418,555,000 $354,333,000 $28,485,000 $229,737,000 $-57,944,000 $79,013,000
2022 $2,575,217,000 $311,927,000 $302,072,000 $27,151,000 $144,424,000 $43,327,000 $-6,625,000
2021 $2,462,927,000 $274,202,000 $265,862,000 $13,500,000 $90,658,000 $74,053,000 $16,716,000
2020 $2,364,948,000 $288,692,000 $273,998,000 $7,879,000 $93,444,000 $428,483,000 $15,257,000
2019 $1,940,608,000 $409,160,000 $328,857,000 $63,572,000 $230,315,000 $-101,152,000 $-18,281,000
2018 $1,934,943,000 $348,347,000 $295,873,000 $43,048,000 $188,687,000 $226,412,000 $34,625,000
2017 $1,603,431,000 $274,840,000 $245,987,000 $63,429,000 $135,256,000 $203,408,000 $14,950,000