Recent Annual Filings for WWW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,668,800,000 $1,755,000,000 $1,693,400,000 $44,800,000 $180,100,000 $-299,200,000 $-32,500,000
2023 $2,062,800,000 $2,242,900,000 $2,377,100,000 $-48,000,000 $121,800,000 $-246,300,000 $49,100,000
2022 $2,492,700,000 $2,684,800,000 $2,937,700,000 $-223,600,000 $-178,900,000 $107,100,000 $-26,200,000
2020 $2,137,400,000 $1,791,100,000 $1,975,200,000 $-167,300,000 $309,100,000 $-154,000,000 $166,800,000
2019 $2,480,000,000 $2,273,700,000 $2,127,800,000 $115,100,000 $222,600,000 $-124,600,000 $37,500,000
2018 $2,183,100,000 $2,239,200,000 $2,011,800,000 $195,100,000 $97,500,000 $-404,500,000 $-337,900,000
2017 $2,399,000,000 $2,350,000,000 $2,360,600,000 $5,500,000 $202,700,000 $-98,000,000 $111,200,000
2016 $2,431,700,000 $2,494,600,000 $2,384,100,000 $62,100,000 $296,300,000 $-79,500,000 $175,700,000