Recent Annual Filings for WSR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,134,639,000 $154,282,000 $104,061,000 $40,551,000 $58,227,000 $-31,486,000 $10,730,000
2023 $1,113,239,000 $146,969,000 $99,583,000 $15,998,000 $47,600,000 $-13,000,000 $-1,715,000
2022 $1,102,767,000 $139,421,000 $93,068,000 $48,725,000 $44,431,000 $-47,276,000 $-9,559,000
2021 $1,102,090,000 $125,365,000 $24,272,000 $20,056,000 $47,040,000 $32,315,000 $-11,875,000
2020 $1,045,002,000 $117,915,000 $24,122,000 $-2,911,000 $42,776,000 $-26,023,000 $10,313,000
2019 $1,056,260,000 $119,251,000 $24,988,000 $14,400,000 $47,748,000 $-4,099,000 $1,263,000
2018 $1,028,872,000 $119,863,000 $64,651,000 $23,191,000 $39,557,000 $-41,759,000 $8,576,000
2017 $1,071,732,000 $125,959,000 $11,006,000 $40,959,000 $105,194,000 $3,649,000