Recent Annual Filings for PECO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,046,223,000 $661,392,000 $488,944,000 $62,735,000 $334,710,000 $58,005,000 $-229,000
2023 $4,865,666,000 $610,124,000 $546,362,000 $51,946,000 $290,968,000 $53,947,000 $-8,471,000
2022 $4,735,492,000 $575,372,000 $520,843,000 $105,814,000 $290,890,000 $-57,825,000 $-98,180,000
2021 $4,668,768,000 $532,846,000 $515,613,000 $49,233,000 $262,902,000 $-98,819,000 $-16,408,000