Recent Annual Filings for PEGA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,768,273,000 $1,497,180,000 $1,354,544,000 $86,823,000 $345,926,000 $-30,214,000 $108,702,000
2023 $1,510,736,000 $1,432,616,000 $1,337,176,000 $72,999,000 $217,785,000 $-81,963,000 $87,773,000
2022 $1,357,672,000 $1,317,845,000 $1,479,642,000 $-361,664,000 $22,336,000 $-46,989,000 $-14,911,000
2021 $1,593,531,000 $1,211,653,000 $1,343,640,000 $-67,080,000 $39,118,000 $-121,843,000 $-11,934,000
2020 $1,604,262,000 $1,017,517,000 $1,142,406,000 $-51,093,000 $-563,000 $423,448,000 $103,536,000
2019 $984,812,000 $911,383,000 $1,046,229,000 $-90,339,000 $-42,165,000 $-74,258,000 $-46,059,000
2018 $982,553,000 $891,581,000 $903,124,000 $4,000,000 $104,356,000 $-101,460,000 $-47,857,000
2017 $721,606,000 $840,582,000 $803,482,000 $36,303,000 $158,235,000 $-54,229,000 $91,685,000