Recent Annual Filings for WSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,034,911,000 $2,395,718,000 $2,359,114,000 $10,270,000 $561,644,000 $-200,119,000 $-1,957,000
2023 $6,137,915,000 $2,364,767,000 $1,896,348,000 $493,811,000 $761,240,000 $-418,935,000 $-6,816,000
2022 $5,827,651,000 $2,142,623,000 $1,777,419,000 $298,489,000 $744,658,000 $-429,368,000 $5,075,000
2021 $5,773,599,000 $1,894,897,000 $1,685,207,000 $168,280,000 $539,902,000 $-167,887,000 $-12,238,000
2020 $5,572,205,000 $1,367,645,000 $1,347,217,000 $98,534,000 $304,812,000 $-158,958,000 $21,892,000
2019 $2,897,649,000 $1,063,665,000 $1,077,399,000 $-5,766,000 $172,566,000 $-26,063,000 $-5,913,000
2018 $2,752,485,000 $751,412,000 $843,584,000 $-71,166,000 $37,149,000 $1,180,037,000 $-227,000
2017 $1,410,742,000 $445,942,000 $611,340,000 $-143,044,000 $-1,362,000 $396,833,000 $3,023,000