Recent Annual Filings for PCG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $133,660,000,000 $24,419,000,000 $22,107,000,000 $2,506,000,000 $8,035,000,000 $3,621,000,000 $281,000,000
2023 $125,698,000,000 $24,428,000,000 $23,729,000,000 $2,248,000,000 $4,747,000,000 $4,400,000,000 $-15,000,000
2022 $118,644,000,000 $21,680,000,000 $21,204,000,000 $1,829,000,000 $3,721,000,000 $7,133,000,000 $640,000,000
2021 $103,327,000,000 $20,642,000,000 $19,894,000,000 $-81,000,000 $2,262,000,000 $4,323,000,000 $-320,000,000
2020 $97,856,000,000 $18,469,000,000 $19,411,000,000 $-1,321,000,000 $-19,130,000,000 $25,928,000,000 $-950,000,000
2019 $85,196,000,000 $17,129,000,000 $28,171,000,000 $-7,643,000,000 $4,816,000,000 $1,464,000,000 $-98,000,000
2018 $76,995,000,000 $16,759,000,000 $26,888,000,000 $-6,833,000,000 $4,752,000,000 $3,031,000,000 $1,219,000,000
2017 $68,012,000,000 $17,135,000,000 $14,964,000,000 $3,308,000,000 $5,977,000,000 $-55,000,000 $272,000,000