Recent Annual Filings for WRLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,056,351,043 $573,213,402 $473,805,666 $77,345,227 $265,783,366 $-135,315,023 $-4,669,475
2023 $1,117,318,141 $616,545,364 $589,399,591 $21,231,990 $291,553,786 $-113,697,373 $-2,727,387
2022 $1,218,296,589 $582,387,545 $516,808,226 $53,919,837 $281,478,561 $182,934,468 $3,489,868
2021 $954,269,164 $525,533,267 $414,129,840 $88,282,828 $199,559,307 $-140,234,233 $4,127,532
2020 $1,030,086,435 $590,029,015 $561,871,537 $28,157,478 $257,409,236 $905,403 $2,283,489
2019 $854,988,073 $544,542,925 $470,645,410 $63,290,214 $244,664,271 $-63,116,750 $-22,750,871
2018 $840,987,037 $548,706,134 $447,501,629 $55,417,813 $218,026,468 $-31,464,357 $16,885,894
2017 $800,588,775 $531,734,724 $417,737,593 $68,751,764 $219,362,747 $-84,150,466 $2,823,386