Recent Annual Filings for WRB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $40,567,268,000 $13,638,752,000 $11,374,259,000 $1,746,144,000 $3,678,368,000 $-852,487,000 $611,552,000
2023 $37,202,015,000 $12,142,938,000 $10,388,535,000 $1,722,591,000 $2,929,238,000 $-1,062,495,000 $-86,151,000
2022 $33,861,099,000 $11,166,499,000 $9,446,818,000 $402,330,000 $2,568,604,000 $-771,992,000 $-119,497,000
2021 $32,086,414,000 $9,455,466,000 $8,172,561,000 $811,234,000 $2,183,987,000 $5,831,000 $-803,523,000
2020 $28,606,913,000 $8,098,925,000 $7,394,123,000 $703,162,000 $1,616,686,000 $-397,843,000 $1,348,656,000
2019 $26,643,428,000 $7,902,196,000 $7,049,276,000 $937,053,000 $1,143,793,000 $-513,193,000 $206,108,000
2018 $24,895,977,000 $7,691,651,000 $6,879,557,000 $284,640,000 $620,199,000 $-7,403,000 $-132,869,000
2017 $24,299,917,000 $7,684,764,000 $6,911,994,000 $566,291,000 $710,883,000 $-235,086,000 $155,186,000