Recent Annual Filings for WTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,397,000,000 $2,252,200,000 $1,866,200,000 $258,200,000 $361,100,000 $-190,500,000 $36,800,000
2023 $2,309,400,000 $2,056,300,000 $1,706,800,000 $268,600,000 $310,800,000 $69,000,000 $39,300,000
2022 $1,930,900,000 $1,979,500,000 $1,671,900,000 $228,900,000 $224,000,000 $-121,700,000 $68,800,000
2021 $1,855,600,000 $1,809,200,000 $1,575,100,000 $138,400,000 $180,800,000 $-118,600,000 $23,100,000
2020 $1,738,200,000 $1,508,600,000 $1,341,600,000 $145,100,000 $228,800,000 $-181,900,000 $-800,000
2019 $1,723,100,000 $1,600,500,000 $1,416,600,000 $121,800,000 $194,000,000 $-105,600,000 $15,600,000
2018 $1,653,700,000 $1,564,900,000 $1,390,300,000 $106,000,000 $169,400,000 $-202,900,000 $-76,100,000
2017 $1,736,500,000 $1,456,700,000 $1,313,600,000 $124,800,000 $155,900,000 $-205,300,000 $-58,200,000