Recent Annual Filings for PCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,063,971,000 $2,774,000 $-33,512,000 $25,415,000 $38,985,000 $229,202,000 $-43,550,000
2023 $2,789,506,000 $2,650,000 $-40,612,000 $32,292,000 $63,343,000 $307,241,000 $95,311,000
2022 $2,420,036,000 $2,642,000 $-46,761,000 $24,322,000 $57,267,000 $243,144,000 $-56,254,000
2021 $2,149,735,000 $2,369,000 $-54,590,000 $38,301,000 $-1,617,000 $186,027,000 $9,187,000
2020 $1,922,853,000 $2,231,000 $-20,780,000 $18,188,000 $17,091,000 $163,597,000 $47,870,000
2019 $1,746,328,000 $2,551,000 $-31,800,000 $25,698,000 $30,120,000 $15,738,000 $-16,045,000
2018 $1,697,028,000 $2,439,000 $-32,306,000 $23,877,000 $35,080,000 $226,050,000 $88,615,000