Recent Annual Filings for WRBY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $580,312,000 $669,765,000 $732,529,000 $-64,079,000 $60,991,000 $2,871,000 $8,309,000
2022 $568,707,000 $598,112,000 $708,008,000 $-111,056,000 $10,370,000 $3,291,000 $-47,831,000
2021 $440,646,000 $540,798,000 $684,806,000 $-144,364,000 $-31,994,000 $22,999,000 $-57,669,000