Recent Annual Filings for WOLF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,984,600,000 $807,200,000 $1,379,700,000 $-850,700,000 $-725,600,000 $1,958,000,000 $-711,100,000
2023 $6,586,700,000 $921,900,000 $1,250,400,000 $-329,700,000 $-142,600,000 $2,597,100,000 $1,307,500,000
2022 $3,917,500,000 $746,200,000 $1,032,300,000 $-228,900,000 $-154,200,000 $615,900,000 $70,500,000
2011 $711,322,000 $296,708,000 $275,138,000 $-25,690,000 $28,868,000 $-27,076,000 $-3,221,000