Recent Annual Filings for WMK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,107,438,000 $4,791,730,000 $4,641,455,000 $108,275,000 $187,467,000 $-36,582,000 $6,106,000
2023 $2,039,632,000 $4,696,950,000 $4,550,254,000 $109,083,000 $201,602,000 $-36,582,000 $26,220,000
2022 $1,959,150,000 $4,695,943,000 $4,535,166,000 $117,061,000 $218,024,000 $-34,968,000 $71,949,000
2021 $1,910,475,000 $4,224,417,000 $4,076,110,000 $107,250,000 $227,709,000 $-33,623,000 $-50,564,000
2020 $1,820,421,000 $4,112,601,000 $3,948,922,000 $120,723,000 $277,990,000 $-33,354,000 $69,741,000
2019 $1,675,562,000 $3,543,299,000 $3,454,655,000 $69,201,000 $171,686,000 $-33,354,000 $29,063,000
2018 $1,432,011,000 $3,509,270,000 $3,427,134,000 $62,601,000 $148,380,000 $-67,534,000 $-10,109,000
2017 $1,441,739,000 $3,466,807,000 $3,387,784,000 $99,442,000 $165,814,000 $-61,766,000 $6,652,000