Recent Annual Filings for PEG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $54,640,000,000 $10,290,000,000 $7,937,000,000 $1,818,000,000 $2,133,000,000 $1,228,000,000 $55,000,000
2023 $50,741,000,000 $11,237,000,000 $7,552,000,000 $2,934,000,000 $3,806,000,000 $-1,260,000,000 $-412,000,000
2022 $48,718,000,000 $9,800,000,000 $8,419,000,000 $831,000,000 $1,503,000,000 $-754,000,000 $-352,000,000
2021 $48,999,000,000 $9,722,000,000 $10,578,000,000 $-494,000,000 $1,736,000,000 $799,000,000 $291,000,000
2020 $50,050,000,000 $9,603,000,000 $7,302,000,000 $1,890,000,000 $3,102,000,000 $-30,000,000 $396,000,000
2019 $47,730,000,000 $10,076,000,000 $8,126,000,000 $1,662,000,000 $3,379,000,000 $-257,000,000 $-23,000,000
2018 $45,326,000,000 $9,696,000,000 $7,841,000,000 $1,466,000,000 $2,913,000,000 $887,000,000 $-116,000,000
2017 $42,716,000,000 $9,084,000,000 $7,816,000,000 $1,608,000,000 $3,261,000,000 $885,000,000 $-110,000,000