Recent Annual Filings for WPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,535,024,000 $1,583,018,000 $852,157,000 $464,973,000 $1,833,112,000 $-688,468,000 $-1,270,000
2023 $17,976,783,000 $1,741,358,000 $1,018,007,000 $737,257,000 $1,073,432,000 $292,562,000 $467,830,000
2022 $18,102,035,000 $1,479,086,000 $866,983,000 $536,377,000 $1,003,556,000 $57,887,000 $6,191,000
2021 $15,480,630,000 $1,331,524,000 $726,656,000 $428,379,000 $926,479,000 $557,048,000 $-93,829,000
2020 $14,707,636,000 $1,209,319,000 $691,601,000 $481,723,000 $801,538,000 $-210,713,000 $60,261,000
2019 $14,060,918,000 $1,232,766,000 $731,117,000 $305,873,000 $812,077,000 $-457,778,000 $-172,545,000
2018 $14,183,039,000 $885,732,000 $526,451,000 $397,575,000 $509,166,000 $-24,292,000 $214,387,000
2017 $8,231,402,000 $848,302,000 $489,748,000 $319,662,000 $516,070,000 $-743,350,000 $6,830,000