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WMKMX Financial Statements & Analysis

Complete financial statements for WMKMX including income statement, balance sheet, and cash flow statement. Analyze WMKMX's revenue growth, profit margins, earnings trends, debt levels, and cash flow generation.

TTM figures are calculated by rolling up the last four quarterly filings (income and cash flow summed; balance sheet at period end).

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Income Statement

Revenue
0.6%
Net Income
49.2%
Gross Margin
0.0%
Operating Margin
-3.8%

Balance Sheet

Current Ratio
2236.2%
Debt to Equity
-14.1%
Asset Turnover
15.5%

Cash Flow

Operating Cash Flow
53.2%
Net Cash Flow
14864.9%
Free Cash Flow
53.2%
Cash Flow to Debt
93.0%

Income Statement Comparison

Revenue & Net Income

Period Comparison

MetricTTM Q1 '23TTM Q4 '23ChangeImpact
Revenue1.38M1.39M0.6%
Gross Profit1.38M1.39M0.6%
Operating Income1.04M1.01M3.2%
Net Income-1.52M-774.66K49.2%
EPS-0.110.11200.0%
EBITDA000.0%
Gross Margin100.00%100.00%0.0%
Operating Margin75.31%72.44%3.8%
Net Income Margin-110.43%-55.80%49.5%
R&D Expenses000.0%

Income Statement Full Table

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MetricTTM Q4 '23TTM Q1 '23TTM Q4 '22TTM Q1 '22TTM Q4 '21
Revenue1.39M1.38M1.37M
Gross Profit1.39M1.38M1.37M
Operating Income1.01M1.04M1.02M
Net Income-774.66K-1.52M-860.00K
EPS0.11-0.11-0.11
EBITDA000
Gross Margin100.00%100.00%100.00%
Operating Margin72.44%75.31%74.19%
Net Income Margin-55.80%-110.43%-62.79%
R&D Expenses000

Our detailed financial analysis helps investors understand WMKMX's business performance, operational efficiency, and financial health through comprehensive financial statement data presented in both quarterly and annual formats.

Track WMKMX's financial performance metrics including revenue, gross profit, operating income, net income, total assets, liabilities, shareholders' equity, operating cash flow, and free cash flow with historical comparison and trend analysis.

Financial Metrics

Want to dive deeper into WMKMX's financial health? Explore key financial metrics and ratios including profitability, liquidity, efficiency, and valuation metrics.

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