Recent Annual Filings for WSBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,209,608,000 $113,168,000 $89,166,000 $17,694,000 $48,063,000 $-20,760,000 $3,340,000
2023 $2,213,389,000 $99,208,000 $88,176,000 $11,059,000 $-27,577,000 $176,580,000 $-10,221,000
2022 $2,031,672,000 $70,245,000 $45,766,000 $1,146,000 $206,665,000 $-201,003,000 $-330,080,000
2021 $2,215,858,000 $69,883,000 $-22,223,000 $67,330,000 $154,454,000 $-20,116,000 $281,955,000
2020 $2,184,587,000 $78,484,000 $-29,632,000 $82,829,000 $-100,567,000 $76,858,000 $20,467,000
2019 $1,996,347,000 $79,741,000 $32,167,000 $38,906,000 $-40,219,000 $29,570,000 $-11,801,000
2018 $1,915,381,000 $73,700,000 $33,420,000 $28,870,000 $42,936,000 $74,429,000 $37,494,000
2017 $1,806,401,000 $67,095,000 $22,662,000 $25,865,000 $107,097,000 $-10,831,000 $1,390,000