Recent Annual Filings for PAGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,756,000,000 $50,073,000,000 $48,901,000,000 $823,000,000 $2,484,000,000 $-1,702,000,000 $-104,000,000
2023 $28,597,000,000 $48,712,000,000 $47,211,000,000 $1,543,000,000 $2,722,000,000 $-1,971,000,000 $49,000,000
2022 $29,207,000,000 $57,342,000,000 $56,058,000,000 $1,062,000,000 $2,404,000,000 $-1,927,000,000 $-52,000,000
2021 $29,978,000,000 $42,078,000,000 $41,236,000,000 $665,000,000 $1,991,000,000 $-1,979,000,000 $393,000,000
2020 $25,951,000,000 $23,290,000,000 $25,673,000,000 $-2,425,000,000 $1,510,000,000 $-430,000,000 $-21,000,000
2019 $29,969,000,000 $33,669,000,000 $31,689,000,000 $2,159,000,000 $2,500,000,000 $-717,000,000 $15,000,000
2018 $26,830,000,000 $34,055,000,000 $31,783,000,000 $1,847,000,000 $2,604,000,000 $-1,753,000,000 $29,000,000
2017 $26,753,000,000 $26,223,000,000 $25,076,000,000 $198,000,000 $2,496,000,000 $-940,000,000 $-10,000,000