Recent Annual Filings for WOW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,512,500,000 $630,900,000 $624,400,000 $-58,800,000 $163,700,000 $67,300,000 $15,400,000
2023 $1,514,700,000 $686,700,000 $1,001,700,000 $-287,700,000 $135,100,000 $126,100,000 $-7,600,000
2022 $1,717,400,000 $704,900,000 $705,600,000 $-2,500,000 $33,800,000 $-30,200,000 $-162,200,000
2021 $1,906,700,000 $725,700,000 $720,900,000 $777,000,000 $174,000,000 $-1,552,500,000 $180,800,000
2020 $2,487,000,000 $1,148,400,000 $997,300,000 $23,400,000 $277,400,000 $-51,700,000 $-8,600,000
2019 $2,471,600,000 $1,145,800,000 $969,400,000 $27,400,000 $266,300,000 $-34,400,000 $7,800,000
2018 $2,419,600,000 $1,153,800,000 $1,175,400,000 $-97,100,000 $269,300,000 $-37,800,000 $-56,200,000
2017 $2,441,600,000 $1,188,100,000 $1,017,400,000 $159,500,000 $195,500,000 $-291,400,000 $38,600,000