Recent Annual Filings for PB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $38,547,877,000 $1,444,543,000 $910,083,000 $421,391,000 $646,355,000 $-1,706,347,000 $34,280,000
2022 $37,689,829,000 $1,094,835,000 $428,662,000 $519,234,000 $506,526,000 $-666,746,000 $-2,123,847,000
2021 $37,833,970,000 $1,046,923,000 $387,269,000 $520,337,000 $694,728,000 $3,234,606,000 $1,204,431,000
2020 $34,059,275,000 $1,143,910,000 $498,876,000 $529,071,000 $582,321,000 $1,461,428,000 $769,441,000
2019 $32,185,708,000 $832,938,000 $413,730,000 $332,844,000 $403,014,000 $-1,500,021,000 $162,981,000
2018 $22,693,402,000 $727,209,000 $324,174,000 $322,235,000 $320,146,000 $-182,380,000 $18,814,000
2017 $22,587,292,000 $677,355,000 $271,285,000 $270,641,000 $390,725,000 $-63,199,000 $-45,068,000
2016 $22,331,072,000 $675,779,000 $267,121,000 $273,837,000 $334,355,000 $-501,943,000 $-126,581,000