Recent Annual Filings for WSO.B

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,479,523,000 $7,618,317,000 $6,815,673,000 $609,450,000 $773,102,000 $-158,530,000 $323,902,000
2023 $3,729,182,000 $7,283,767,000 $6,493,877,000 $642,045,000 $561,954,000 $-460,076,000 $60,535,000
2022 $3,488,214,000 $7,274,344,000 $6,444,931,000 $683,391,000 $571,964,000 $-503,958,000 $34,170,000
2021 $3,085,861,000 $6,280,192,000 $5,652,660,000 $499,960,000 $349,566,000 $-228,602,000 $-27,799,000
2020 $2,484,347,000 $5,054,928,000 $4,655,133,000 $329,906,000 $534,379,000 $-448,493,000 $71,613,000
2019 $2,556,161,000 $4,770,362,000 $4,407,510,000 $306,260,000 $335,771,000 $-264,023,000 $-8,440,000
2018 $2,161,033,000 $4,546,653,000 $4,177,311,000 $277,797,000 $170,557,000 $-139,603,000 $2,398,000
2017 $2,046,877,000 $4,341,955,000 $3,994,444,000 $272,208,000 $306,520,000 $-202,145,000 $24,486,000