Recent Annual Filings for WYY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $71,580,516 $142,571,749 $144,509,787 $-2,050,325 $1,681,772 $-894,837 $896,235
2023 $51,300,499 $106,026,360 $109,728,146 $-4,031,138 $625,248 $-590,152 $-609,704
2022 $49,012,661 $94,103,365 $113,737,070 $-23,693,939 $6,068,227 $-1,467,873 $1,191,675
2021 $75,489,338 $87,338,097 $86,697,650 $204,125 $-1,222,563 $-705,699 $-9,371,787
2020 $101,324,351 $180,343,015 $177,419,282 $10,461,663 $6,386,283 $3,732,357 $9,117,122
2019 $64,293,455 $101,720,247 $101,101,342 $170,146 $5,854,842 $-843,963 $4,447,735
2018 $47,055,177 $83,678,896 $83,942,046 $-1,520,500 $-2,134,890 $-157,698 $-2,840,565
2017 $45,892,931 $75,884,246 $79,380,216 $-3,347,029 $-2,991,761 $-298,686 $-3,851,041