Recent Annual Filings for WTBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,014,991,000 $190,066,000 $162,623,000 $18,216,000 $39,808,000 $165,654,000 $178,121,000
2023 $3,825,758,000 $160,305,000 $130,519,000 $32,085,000 $25,249,000 $182,252,000 $38,818,000
2022 $3,613,218,000 $123,349,000 $63,952,000 $-34,435,000 $59,439,000 $132,106,000 $-166,286,000
2021 $3,500,201,000 $107,280,000 $44,372,000 $50,816,000 $57,878,000 $275,723,000 $-203,610,000
2020 $3,185,744,000 $100,233,000 $58,852,000 $24,127,000 $42,285,000 $668,023,000 $343,145,000
2019 $2,473,691,000 $98,675,000 $62,933,000 $32,243,000 $36,967,000 $124,348,000 $5,816,000
2018 $2,296,568,000 $84,793,000 $49,725,000 $23,956,000 $34,744,000 $153,507,000 $-475,000
2017 $2,114,377,000 $73,034,000 $36,596,000 $22,220,000 $29,357,000 $235,721,000 $-28,887,000