Recent Annual Filings for PAYO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,930,380,000 $977,716,000 $838,245,000 $108,730,000 $176,925,000 $427,773,000 $-1,356,569,000
2023 $7,283,119,000 $831,103,000 $698,567,000 $93,333,000 $159,489,000 $511,954,000 $627,189,000
2022 $6,594,651,000 $627,623,000 $626,005,000 $-14,399,000 $83,960,000 $1,461,312,000 $1,548,287,000
2021 $5,078,752,000 $473,403,000 $498,642,000 $-35,908,000 $20,015,000 $1,396,195,000 $1,425,144,000