Recent Annual Filings for WMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $260,823,000,000 $680,985,000,000 $654,676,000,000 $17,298,000,000 $36,443,000,000 $-14,822,000,000 $-399,000,000
2024 $252,399,000,000 $648,125,000,000 $626,277,000,000 $17,214,000,000 $35,726,000,000 $-13,414,000,000 $1,094,000,000
2023 $243,197,000,000 $611,289,000,000 $594,273,000,000 $9,236,000,000 $28,841,000,000 $-17,039,000,000 $-5,993,000,000
2022 $244,860,000,000 $572,754,000,000 $554,058,000,000 $16,710,000,000 $24,181,000,000 $-22,828,000,000 $-4,802,000,000
2021 $252,496,000,000 $559,151,000,000 $538,587,000,000 $14,532,000,000 $36,074,000,000 $-16,117,000,000 $10,121,000,000
2020 $236,495,000,000 $523,964,000,000 $503,848,000,000 $13,966,000,000 $25,255,000,000 $-14,299,000,000 $1,759,000,000
2019 $219,295,000,000 $514,405,000,000 $502,945,000,000 $7,066,000,000 $27,753,000,000 $-2,537,000,000 $742,000,000
2018 $204,522,000,000 $500,343,000,000 $485,220,000,000 $14,743,000,000 $28,337,000,000 $-19,875,000,000 $-111,000,000