Recent Annual Filings for PENN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,261,700,000 $6,578,100,000 $6,505,600,000 $-447,000,000 $359,300,000 $-186,500,000 $-370,700,000
2023 $16,064,200,000 $6,362,900,000 $7,053,100,000 $-444,100,000 $455,900,000 $-262,600,000 $-549,700,000
2022 $17,502,100,000 $6,401,700,000 $5,427,700,000 $107,500,000 $878,200,000 $-853,000,000 $-235,900,000
2021 $16,872,100,000 $5,905,000,000 $4,845,400,000 $366,100,000 $896,100,000 $339,900,000 $9,700,000
2020 $14,667,300,000 $3,578,700,000 $3,988,900,000 $-669,100,000 $338,800,000 $1,310,100,000 $1,415,200,000
2019 $14,194,500,000 $5,301,400,000 $4,729,500,000 $43,100,000 $703,900,000 $-122,400,000 $-26,000,000
2018 $10,961,012,000 $3,587,918,000 $2,953,826,000 $93,514,000 $352,794,000 $1,272,130,000 $201,820,000
2017 $5,234,812,000 $3,147,970,000 $3,173,014,000 $476,686,000 $459,079,000 $-189,028,000 $48,443,000