Recent Annual Filings for WLKP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,287,956,000 $1,135,896,000 $765,902,000 $369,159,000 $485,001,000 $-396,333,000 $-303,000
2023 $1,316,842,000 $1,190,791,000 $855,352,000 $334,626,000 $451,999,000 $-382,225,000 $-6,163,000
2022 $1,371,979,000 $1,593,147,000 $1,257,301,000 $334,829,000 $463,736,000 $-404,009,000 $47,725,000
2021 $1,480,698,000 $1,214,858,000 $812,924,000 $401,385,000 $408,439,000 $-344,235,000 $-97,000
2020 $1,356,488,000 $966,670,000 $624,987,000 $341,119,000 $373,397,000 $-378,198,000 $-2,769,000
2019 $1,393,456,000 $1,091,871,000 $758,248,000 $332,895,000 $450,807,000 $-392,921,000 $179,000
2018 $1,462,125,000 $1,285,622,000 $955,029,000 $330,571,000 $436,151,000 $-391,603,000 $-7,264,000
2017 $1,515,276,000 $1,172,981,000 $818,643,000 $353,058,000 $537,357,000 $-396,020,000 $-61,892,000