Recent Annual Filings for WTRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,026,554,000 $2,086,113,000 $1,328,445,000 $595,314,000 $770,343,000 $397,482,000 $4,544,000
2023 $16,841,459,000 $2,053,824,000 $1,361,727,000 $498,226,000 $933,587,000 $281,355,000 $-6,786,000
2022 $15,719,107,000 $2,288,032,000 $1,626,845,000 $465,237,000 $600,306,000 $578,827,000 $831,000
2021 $14,658,278,000 $1,878,144,000 $1,275,435,000 $431,612,000 $644,679,000 $417,119,000 $5,740,000
2020 $13,705,277,000 $1,462,698,000 $1,028,012,000 $284,849,000 $508,024,000 $1,961,547,000 $-1,864,095,000