Recent Annual Filings for WSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,301,607,000 $7,711,541,000 $6,225,809,000 $1,119,210,000 $1,360,222,000 $-1,184,223,000 $-49,030,000
2024 $5,273,548,000 $7,750,652,000 $6,477,297,000 $948,019,000 $1,680,273,000 $-598,307,000 $894,663,000
2023 $4,663,016,000 $8,674,417,000 $7,173,735,000 $1,124,923,000 $1,052,822,000 $-1,178,673,000 $-482,994,000
2022 $4,625,620,000 $8,245,936,000 $6,794,685,000 $1,122,626,000 $1,371,147,000 $-1,491,985,000 $-349,999,000
2021 $4,661,424,000 $6,783,189,000 $5,888,723,000 $688,184,000 $1,274,848,000 $-343,019,000 $768,175,000
2020 $4,054,042,000 $5,898,008,000 $5,440,987,000 $352,548,000 $607,294,000 $-327,226,000 $93,208,000
2019 $2,812,844,000 $5,671,593,000 $5,242,346,000 $329,393,000 $585,986,000 $-450,066,000 $-51,182,000
2018 $2,785,749,000 $5,292,359,000 $4,839,920,000 $262,666,000 $499,704,000 $-51,707,000 $176,423,000