Earnings
WMG
26.11
+1.36%
0.35
Currencies: USD
Items
Total Assets
Total Current Assets
Cash & Equivalents and Short Term Investments
Cash
Cash & Equivalents
Short Term Investments
Accounts Receivable - Trade, Net
Total Receivables, Net
Total Inventory
Prepaid Expenses
Other Current Assets, Total
Total Non Current Assets
Property/Plant/Equipment, Total - Net
Property/Plant/Equipment, Total - Gross
Accumulated Depreciation, Total
Goodwill, Net
Intangibles, Net
Long Term Investments
Note Receivable - Long Term
Other Long Term Assets, Total
Total Liabilities
Total Current Liabilities
Accounts Payable
Payable/Accrued
Accrued Expenses
Notes Payable/Short Term Debt
Current Port. of LT Debt/Capital Leases
Other Current liabilities, Total
Total Non Current Liabilities
Total Long Term Debt
Long Term Debt
Capital Lease Obligations
Total Debt
Deferred Income Tax
Other Liabilities, Total
Total Equity
Total Stockholders Equity
Redeemable Preferred Stock, Total
Preferred Stock - Non Redeemable, Net
Common Stock, Total
Additional Paid-In Capital
Retained Earnings (Accumulated Deficit)
Treasury Stock - Common
ESOP Debt Guarantee
Unrealized Gain (Loss)
Other Equity, Total
Minority Interest
Total Liabilities & Shareholders Equity
Total Common Shares Outstanding
Total Preferred Shares Outstanding
FY 2025
9.83B
2.77B
532.00M
--
532.00M
--
1.34B
1.34B
62.00M
747.00M
89.00M
7.06B
630.00M
1.33B
701.00M
2.06B
2.88B
--
--
1.49B
9.07B
4.20B
257.00M
--
3.48B
0.00
--
464.00M
4.87B
4.37B
4.37B
--
4.37B
164.00M
342.00M
757.00M
647.00M
--
--
1.15M
2.17B
-1.33B
--
--
--
-189.15M
110.00M
9.83B
522.40M
--
FY 2024
9.15B
2.64B
694.00M
--
694.00M
--
1.25B
1.25B
99.00M
595.00M
--
6.51B
706.00M
1.32B
615.00M
2.02B
2.51B
--
--
1.27B
8.48B
3.90B
289.00M
--
3.25B
0.00
--
356.00M
4.58B
4.01B
4.01B
--
4.01B
195.00M
374.00M
675.00M
518.00M
--
--
1.14M
2.08B
-1.31B
--
--
--
-247.14M
157.00M
9.15B
517.94M
--
FY 2023
8.54B
2.40B
641.00M
--
641.00M
--
1.12B
1.12B
126.00M
515.00M
--
6.14B
703.00M
1.23B
523.00M
1.99B
2.50B
--
--
945.00M
8.12B
3.54B
300.00M
--
2.81B
0.00
--
428.00M
4.58B
3.96B
3.96B
--
3.96B
216.00M
396.00M
430.00M
307.00M
--
--
1.14M
2.02B
-1.39B
--
--
--
-322.14M
123.00M
8.54B
516.00M
--
FY 2022
7.83B
2.14B
584.00M
--
584.00M
--
984.00M
984.00M
108.00M
463.00M
--
5.69B
641.00M
1.10B
461.00M
1.92B
2.38B
--
--
744.00M
7.66B
3.37B
268.00M
--
2.43B
0.00
--
668.00M
4.29B
3.73B
3.73B
--
3.73B
220.00M
340.00M
168.00M
152.00M
--
--
1.14M
1.98B
-1.48B
--
--
--
-347.14M
16.00M
7.83B
514.85M
--
FY 2021
7.21B
1.90B
499.00M
--
499.00M
--
839.00M
839.00M
99.00M
459.00M
--
5.32B
632.00M
1.05B
419.00M
1.83B
2.17B
--
--
682.00M
7.17B
3.15B
302.00M
--
2.40B
0.00
--
450.00M
4.01B
3.35B
3.35B
--
3.35B
207.00M
462.00M
46.00M
31.00M
--
--
1.00M
1.94B
-1.71B
--
--
--
-202.00M
15.00M
7.21B
514.39M
--

FY: Financial Year. It represents annual report.

Q: Quarter Report. Q1、Q2、Q3、Q4 represent three-month periodic financial reports.