Recent Annual Filings for PAG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,671,500,000 $29,527,400,000 $28,107,900,000 $1,130,400,000 $1,093,600,000 $-531,100,000 $-10,100,000
2022 $14,114,600,000 $27,814,800,000 $25,955,600,000 $1,218,800,000 $1,459,000,000 $-798,000,000 $5,800,000
2021 $13,464,600,000 $25,554,700,000 $23,947,000,000 $1,183,600,000 $1,293,300,000 $-615,500,000 $51,200,000
2020 $13,247,200,000 $20,443,900,000 $19,736,300,000 $588,200,000 $1,201,800,000 $-1,053,900,000 $21,400,000
2019 $13,942,700,000 $23,179,400,000 $22,587,900,000 $466,500,000 $518,600,000 $2,600,000 $-11,300,000
2018 $10,904,500,000 $22,785,100,000 $22,181,000,000 $380,800,000 $614,700,000 $-94,300,000 $-6,300,000
2017 $10,540,600,000 $21,386,900,000 $20,838,700,000 $720,200,000 $623,500,000 $322,400,000 $21,700,000
2016 $8,861,100,000 $20,118,500,000 $19,610,400,000 $217,400,000 $367,100,000 $438,600,000 $-38,400,000