Recent Annual Filings for PBFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,856,191,000 $12,977,000 $-14,878,000 $23,560,000 $26,269,000 $-136,978,000 $-225,582,000
2022 $1,964,229,000 $13,230,000 $-108,000 $4,224,000 $49,967,000 $149,162,000 $51,097,000
2021 $1,796,252,000 $12,768,000 $10,108,000 $13,322,000 $32,653,000 $260,513,000 $168,060,000
2020 $1,526,412,000 $12,550,000 $22,355,000 $-12,892,000 $2,025,000 $34,243,000 $-73,206,000