
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 |
|---|---|---|---|---|---|---|
| Cash and cash equivalents | $3.13B+65.7% | $1.89B+32.7% | $1.42B+12.8% | $1.26B-71.9% | $4.49B+120.0% | $2.04B |
| Fiduciary assets | $10.45B+9.9% | $9.50B+4.8% | $9.07B-22.9% | $11.77B+6.9% | $11.01B-8.2% | $12.00B |
| Accounts receivable, net | $2.70B+8.3% | $2.49B-3.0% | $2.57B+7.8% | $2.39B+0.7% | $2.37B-1.6% | $2.41B |
| Prepaid and other current assets | $595.0M-51.1% | $1.22B+234.3% | $364.0M-12.1% | $414.0M-32.4% | $612.0M+27.8% | $479.0M |
| Total current assets | $16.87B+11.7% | $15.11B+12.4% | $13.43B-15.2% | $15.84B-14.3% | $18.49B-8.9% | $20.30B |
| Fixed assets, net | $695.0M+5.1% | $661.0M-8.2% | $720.0M+0.3% | $718.0M-15.6% | $851.0M-16.0% | $1.01B |
| Goodwill | $8.94B+1.6% | $8.80B-13.7% | $10.20B+0.2% | $10.17B-0.1% | $10.18B-2.0% | $10.39B |
| Other intangible assets, net | $1.14B-11.9% | $1.29B-35.8% | $2.02B-11.3% | $2.27B-11.0% | $2.56B-14.5% | $2.99B |
| Right-of-use assets | $487.0M+0.4% | $485.0M-14.2% | $565.0M-3.6% | $586.0M-18.6% | $720.0M-20.1% | $901.0M |
| Pension benefits assets | $529.0M-0.2% | $530.0M-9.9% | $588.0M-28.9% | $827.0M-14.8% | $971.0M+0.0% | $971.0M |
| Other non-current assets | $866.0M+7.4% | $806.0M-48.8% | $1.57B+15.9% | $1.36B+12.9% | $1.20B+11.3% | $1.08B |
| Total non-current assets | $12.66B+0.6% | $12.58B-19.7% | $15.66B-1.7% | $15.93B-3.3% | $16.48B-9.6% | $18.23B |
| TOTAL ASSETS | $29.53B+6.7% | $27.68B-4.8% | $29.09B-8.4% | $31.77B-9.2% | $34.97B-9.2% | $38.53B |
| Fiduciary liabilities | $10.45B+9.9% | $9.50B+4.8% | $9.07B-22.9% | $11.77B+6.9% | $11.01B-8.2% | $12.00B |
| Deferred revenue and accrued expenses | $2.09B-5.6% | $2.21B+5.1% | $2.10B+9.9% | $1.92B-0.6% | $1.93B-8.2% | $2.10B |
| Current debt | $550.0M | $0-100.0% | $650.0M+160.0% | $250.0M-59.2% | $613.0M-36.9% | $971.0M |
| Current lease liabilities | $125.0M+5.9% | $118.0M-5.6% | $125.0M-0.8% | $126.0M-16.0% | $150.0M-1.3% | $152.0M |
| Other current liabilities | $797.0M+4.2% | $765.0M+12.8% | $678.0M-5.3% | $716.0M-29.5% | $1.01B+27.2% | $798.0M |
| Total current liabilities | $14.00B+11.2% | $12.60B-0.3% | $12.63B-14.5% | $14.78B+0.4% | $14.72B-23.8% | $19.33B |
| Long-term debt | $5.76B+8.4% | $5.31B+16.2% | $4.57B+2.1% | $4.47B+12.5% | $3.97B-14.8% | $4.66B |
| Liability for pension benefits | $660.0M+7.3% | $615.0M+9.2% | $563.0M+17.3% | $480.0M-36.6% | $757.0M-46.0% | $1.40B |
| Provision for liabilities | $340.0M-0.3% | $341.0M-6.6% | $365.0M+2.2% | $357.0M-4.8% | $375.0M-7.6% | $406.0M |
| Long-term lease liabilities | $472.0M-6.0% | $502.0M-15.2% | $592.0M-4.5% | $620.0M-15.5% | $734.0M-20.0% | $917.0M |
| Other non-current liabilities | $246.0M-17.7% | $299.0M+25.6% | $238.0M+7.7% | $221.0M-12.6% | $253.0M-12.8% | $290.0M |
| Total non-current liabilities | $7.47B+5.8% | $7.07B+2.9% | $6.87B-0.4% | $6.90B-0.6% | $6.94B-16.1% | $8.27B |
| TOTAL LIABILITIES | $21.48B+9.2% | $19.66B+0.9% | $19.50B-10.1% | $21.68B+0.1% | $21.66B-21.5% | $27.60B |
| Additional paid-in capital | $11.11B+1.1% | $10.99B+0.7% | $10.91B+0.3% | $10.88B+0.7% | $10.80B+0.5% | $10.75B |
| Retained earnings | -$296.0M-371.6% | $109.0M-92.6% | $1.47B-16.9% | $1.76B-62.0% | $4.64B+90.8% | $2.43B |
| Accumulated other comprehensive loss, net of tax | -$2.83B+10.3% | -$3.16B-10.6% | -$2.86B-9.0% | -$2.62B-19.9% | -$2.19B+7.3% | -$2.36B |
| Total WTW shareholders' equity | $7.98B+0.5% | $7.94B-16.6% | $9.52B-5.0% | $10.02B-24.5% | $13.26B+22.6% | $10.82B |
| Non-controlling interests | $76.0M-1.3% | $77.0M+5.5% | $73.0M-5.2% | $77.0M+60.4% | $48.0M-57.1% | $112.0M |
| Total equity | $8.05B+0.4% | $8.02B-16.4% | $9.59B-5.0% | $10.09B-24.2% | $13.31B+21.7% | $10.93B |
| TOTAL LIABILITIES AND EQUITY | $29.53B+6.7% | $27.68B-4.8% | $29.09B-8.4% | $31.77B-9.2% | $34.97B-9.2% | $38.53B |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.