Recent Annual Filings for WMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,690,360,000 $2,904,245,000 $2,314,780,000 $441,722,000 $581,491,000 $-157,727,000 $-24,102,000
2024 $3,268,913,000 $2,874,473,000 $2,207,720,000 $512,721,000 $717,928,000 $-284,343,000 $277,921,000
2023 $2,901,125,000 $3,071,121,000 $2,414,021,000 $510,086,000 $707,810,000 $-296,278,000 $197,055,000
2022 $2,649,758,000 $2,769,315,000 $2,385,804,000 $275,527,000 $274,888,000 $-251,068,000 $-175,013,000
2021 $2,413,832,000 $1,982,780,000 $1,670,509,000 $238,774,000 $452,216,000 $-354,583,000 $19,759,000
2020 $2,369,888,000 $1,673,805,000 $1,853,419,000 $-204,121,000 $306,189,000 $1,011,572,000 $167,291,000
2019 $1,042,159,000 $1,384,733,000 $1,273,123,000 $75,717,000 $151,678,000 $-117,655,000 $-8,696,000
2018 $1,043,242,000 $1,330,354,000 $1,253,412,000 $68,678,000 $137,120,000 $-94,953,000 $11,137,000