Recent Annual Filings for WTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,098,930,000 $525,261,000 $567,455,000 $-87,145,000 $59,539,000 $-8,562,000 $-67,200,000
2023 $1,114,005,000 $532,656,000 $503,162,000 $15,598,000 $115,326,000 $-321,737,000 $-288,019,000
2022 $1,431,790,000 $920,997,000 $466,919,000 $231,149,000 $339,530,000 $-28,892,000 $215,558,000
2021 $1,193,207,000 $558,010,000 $368,348,000 $-41,478,000 $133,668,000 $100,266,000 $206,490,000
2020 $940,582,000 $346,634,000 $322,025,000 $37,790,000 $108,509,000 $-49,600,000 $11,293,000
2019 $1,003,719,000 $534,896,000 $476,247,000 $74,086,000 $232,227,000 $80,727,000 $-860,000
2018 $848,866,000 $580,706,000 $333,679,000 $248,827,000 $321,763,000 $-321,143,000 $-65,765,000
2017 $907,580,000 $487,096,000 $377,146,000 $79,682,000 $159,408,000 $-23,479,000 $28,822,000