Recent Annual Filings for WSBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $17,712,374,000 $711,516,000 $517,467,000 $194,755,000 $169,322,000 $552,874,000 $186,972,000
2022 $16,931,905,000 $513,656,000 $277,255,000 $-65,183,000 $204,140,000 $21,073,000 $-842,947,000
2021 $16,927,125,000 $484,967,000 $183,118,000 $205,781,000 $336,297,000 $338,110,000 $345,911,000
2020 $16,425,610,000 $541,277,000 $396,198,000 $152,202,000 $59,606,000 $553,253,000 $670,651,000
2019 $15,720,112,000 $484,253,000 $291,039,000 $197,945,000 $163,363,000 $-201,539,000 $65,610,000
2018 $12,458,632,000 $414,957,000 $240,433,000 $137,799,000 $191,557,000 $-88,084,000 $51,614,000
2017 $9,816,178,000 $332,424,000 $184,135,000 $95,694,000 $141,626,000 $-74,849,000 $-10,598,000
2016 $9,790,877,000 $286,097,000 $168,426,000 $80,463,000 $123,697,000 $-276,180,000 $41,485,000