Recent Annual Filings for WSFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,814,303,000 $1,063,582,000 $716,323,000 $232,785,000 $219,899,000 $-91,249,000 $61,918,000
2023 $20,594,672,000 $976,522,000 $611,252,000 $351,009,000 $237,003,000 $344,900,000 $255,642,000
2022 $19,914,755,000 $963,949,000 $663,340,000 $-415,701,000 $480,854,000 $-1,039,168,000 $-695,681,000
2021 $15,777,327,000 $641,849,000 $284,149,000 $177,667,000 $125,648,000 $1,244,924,000 $-121,796,000
2020 $14,333,914,000 $715,430,000 $570,474,000 $147,280,000 $15,142,000 $1,942,785,000 $1,082,983,000
2019 $12,256,302,000 $709,201,000 $514,831,000 $187,704,000 $89,866,000 $-432,694,000 $-49,005,000
2018 $7,248,870,000 $455,514,000 $284,716,000 $127,501,000 $135,574,000 $121,227,000 $-103,109,000
2017 $6,999,540,000 $379,370,000 $270,880,000 $51,369,000 $130,168,000 $160,561,000 $-98,057,000