Recent Annual Filings for CPF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,472,096,000 $38,723,000 $-29,316,000 $61,586,000 $90,519,000 $-232,669,000 $-141,496,000
2023 $7,642,796,000 $46,663,000 $-30,159,000 $80,057,000 $105,112,000 $125,620,000 $410,393,000
2022 $7,432,763,000 $30,403,000 $-68,366,000 $-62,096,000 $114,121,000 $53,499,000 $-216,863,000
2021 $7,419,089,000 $28,707,000 $-76,945,000 $51,806,000 $110,488,000 $776,648,000 $224,840,000
2020 $6,594,583,000 $23,797,000 $-25,236,000 $48,992,000 $76,792,000 $521,249,000 $1,095,000
2019 $6,012,672,000 $25,894,000 $-52,033,000 $85,924,000 $72,192,000 $57,566,000 $786,000
2018 $5,807,026,000 $24,586,000 $-53,658,000 $46,407,000 $103,486,000 $127,550,000 $19,893,000
2017 $5,623,708,000 $182,562,000 $107,506,000 $41,686,000 $96,784,000 $197,295,000 $-2,048,000