Recent Annual Filings for WNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,411,529,000 $1,946,740,000 $2,323,338,000 $-285,876,000 $117,272,000 $-86,271,000 $-63,787,000
2023 $1,362,814,000 $2,536,500,000 $2,241,815,000 $232,309,000 $319,606,000 $-92,541,000 $121,026,000
2022 $1,203,523,000 $2,502,129,000 $2,355,694,000 $111,029,000 $124,084,000 $-82,312,000 $-13,533,000
2021 $1,107,071,000 $1,803,268,000 $1,801,978,000 $-5,610,000 $-7,470,000 $-111,353,000 $-145,899,000
2020 $1,161,470,000 $1,481,889,000 $1,591,103,000 $-85,801,000 $124,134,000 $-43,957,000 $77,161,000
2019 $1,304,591,000 $2,319,136,000 $2,201,405,000 $88,940,000 $146,284,000 $-101,598,000 $7,826,000
2018 $1,304,393,000 $2,267,278,000 $2,171,274,000 $68,463,000 $112,471,000 $-158,129,000 $-58,831,000
2017 $1,351,513,000 $1,767,161,000 $1,644,623,000 $111,884,000 $144,379,000 $215,915,000 $28,054,000