Recent Annual Filings for PANW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,990,900,000 $8,027,500,000 $7,039,200,000 $2,619,200,000 $3,257,600,000 $-1,343,100,000 $404,600,000
2023 $14,501,100,000 $6,892,700,000 $6,326,400,000 $452,100,000 $2,777,500,000 $-1,726,300,000 $-982,600,000
2022 $12,253,600,000 $5,501,500,000 $5,708,700,000 $-312,700,000 $1,984,700,000 $-806,600,000 $244,700,000
2021 $10,241,600,000 $4,256,100,000 $4,721,100,000 $-519,300,000 $1,503,000,000 $-1,104,000,000 $-1,081,600,000
2020 $9,065,400,000 $3,408,400,000 $3,640,200,000 $-252,800,000 $1,035,700,000 $673,000,000 $1,996,700,000
2019 $6,592,200,000 $2,899,600,000 $2,974,200,000 $-69,200,000 $1,055,600,000 $-773,900,000 $-1,544,200,000
2018 $5,823,000,000 $2,273,100,000 $2,403,300,000 $-160,900,000 $1,037,000,000 $1,245,600,000 $1,762,600,000
2017 $3,438,300,000 $1,761,600,000 $1,955,700,000 $-221,000,000 $868,500,000 $-386,000,000 $9,900,000