Recent Annual Filings for WNEB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,653,090,000 $109,832,000 $94,875,000 $10,136,000 $12,170,000 $72,034,000 $37,610,000
2023 $2,564,571,000 $101,118,000 $81,534,000 $18,366,000 $14,773,000 $-2,569,000 $-1,502,000
2022 $2,553,150,000 $85,928,000 $51,299,000 $13,159,000 $36,089,000 $1,990,000 $-73,114,000
2021 $2,538,425,000 $79,849,000 $48,125,000 $22,664,000 $27,542,000 $150,127,000 $16,012,000
2020 $2,365,886,000 $44,000 $-14,112,000 $8,904,000 $25,067,000 $161,193,000 $62,703,000
2019 $2,181,476,000 $67,000 $-17,134,000 $17,790,000 $15,379,000 $30,653,000 $-2,048,000
2018 $2,118,822,000 $89,000 $-21,019,000 $15,307,000 $24,638,000 $20,764,000 $-343,000
2017 $2,083,070,000 $74,039,000 $52,291,000 $14,555,000 $18,861,000 $-5,991,000 $-43,102,000