Recent Annual Filings for PBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,397,516,000 $2,026,598,000 $2,078,925,000 $-191,523,000 $229,170,000 $-305,455,000 $-125,341,000
2023 $4,272,185,000 $3,266,348,000 $3,672,850,000 $-401,308,000 $79,468,000 $-31,266,000 $-68,928,000
2022 $4,741,355,000 $3,538,042,000 $3,498,162,000 $-18,312,000 $175,983,000 $-198,083,000 $-62,499,000
2021 $4,958,871,000 $3,673,561,000 $3,680,976,000 $57,468,000 $301,515,000 $-330,371,000 $-188,970,000
2020 $5,220,137,000 $3,554,075,000 $3,739,007,000 $-180,532,000 $301,972,000 $-235,371,000 $-2,992,000
2019 $5,466,900,000 $3,205,125,000 $3,177,983,000 $303,427,000 $252,207,000 $-686,640,000 $57,180,000
2018 $5,972,903,000 $3,522,380,000 $3,310,019,000 $183,645,000 $392,262,000 $-766,419,000 $-139,794,000
2017 $6,678,715,000 $3,549,948,000 $3,266,959,000 $409,300,000 $495,813,000 $367,747,000 $244,499,000