Recent Annual Filings for WST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,643,400,000 $2,893,200,000 $2,307,700,000 $378,400,000 $653,400,000 $-622,600,000 $-369,300,000
2023 $3,829,500,000 $2,949,800,000 $2,251,800,000 $632,600,000 $776,500,000 $-459,600,000 $-51,800,000
2022 $3,616,800,000 $2,886,900,000 $2,207,000,000 $562,500,000 $724,000,000 $-293,600,000 $142,200,000
2021 $3,313,800,000 $2,831,600,000 $2,082,700,000 $612,800,000 $584,000,000 $-168,100,000 $147,100,000
2020 $2,793,800,000 $2,146,900,000 $1,745,600,000 $385,200,000 $472,500,000 $-137,100,000 $176,400,000
2019 $2,341,400,000 $1,839,900,000 $1,548,100,000 $246,300,000 $367,200,000 $-36,800,000 $101,700,000
2018 $1,978,900,000 $1,717,400,000 $1,476,700,000 $170,000,000 $288,600,000 $-80,700,000 $101,500,000
2017 $1,862,800,000 $1,599,100,000 $1,376,700,000 $220,200,000 $263,300,000 $-109,000,000 $32,900,000