Recent Annual Filings for WVE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $352,207,000 $108,302,000 $205,310,000 $-97,146,000 $-151,026,000 $253,890,000 $101,926,000
2023 $274,949,000 $113,305,000 $171,495,000 $-57,608,000 $-19,431,000 $132,534,000 $111,988,000
2022 $146,386,000 $3,649,000 $164,791,000 $-162,033,000 $-127,781,000 $67,188,000 $-61,848,000
2021 $207,007,000 $40,964,000 $163,413,000 $-122,453,000 $-88,993,000 $55,828,000 $-33,725,000
2020 $279,238,000 $20,077,000 $170,828,000 $-149,788,000 $-115,982,000 $154,538,000 $37,218,000
2019 $284,250,000 $15,983,000 $209,621,000 $-193,524,000 $-188,231,000 $164,399,000 $-27,750,000
2018 $295,940,000 $14,414,000 $160,998,000 $-146,616,000 $-22,862,000 $65,094,000 $32,294,000
2017 $181,843,000 $3,704,000 $105,031,000 $-101,628,000 $-83,671,000 $94,374,000 $-7,790,000