Recent Annual Filings for PCTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,245,460,000 $1,402,515,000 $1,125,500,000 $210,345,000 $384,670,000 $141,578,000 $424,357,000
2023 $3,695,680,000 $1,174,598,000 $1,015,984,000 $138,610,000 $282,723,000 $-1,434,702,000 $-1,372,141,000
2022 $4,809,014,000 $852,651,000 $769,054,000 $88,408,000 $155,053,000 $2,172,293,000 $1,847,572,000
2021 $2,414,885,000 $635,627,000 $578,523,000 $70,210,000 $124,850,000 $280,478,000 $453,748,000
2020 $1,985,648,000 $561,329,000 $494,211,000 $65,018,000 $112,655,000 $2,092,000 $65,990,000
2019 $1,803,941,000 $467,633,000 $409,587,000 $54,074,000 $115,032,000 $114,724,000 $186,412,000
2018 $1,507,599,000 $377,527,000 $360,776,000 $38,459,000 $97,866,000 $275,217,000 $33,725,000
2017 $1,137,441,000 $300,010,000 $292,641,000 $6,718,000 $61,980,000 $-304,347,000 $16,972,000