Recent Annual Filings for PFE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $213,396,000,000 $63,627,000,000 $55,604,000,000 $8,178,000,000 $12,744,000,000 $-17,140,000,000 $-1,810,000,000
2023 $226,501,000,000 $58,496,000,000 $57,438,000,000 $2,488,000,000 $8,700,000,000 $26,066,000,000 $2,448,000,000
2022 $197,205,000,000 $100,330,000,000 $65,601,000,000 $28,985,000,000 $29,267,000,000 $-14,834,000,000 $-1,515,000,000
2021 $181,476,000,000 $81,288,000,000 $56,977,000,000 $21,435,000,000 $32,580,000,000 $-9,816,000,000 $159,000,000
2020 $154,229,000,000 $41,908,000,000 $34,411,000,000 $9,666,000,000 $14,403,000,000 $-9,649,000,000 $475,000,000
2019 $167,489,000,000 $51,750,000,000 $34,068,000,000 $15,926,000,000 $12,588,000,000 $-8,485,000,000 $126,000,000
2018 $159,000,000,000 $53,647,000,000 $41,762,000,000 $9,214,000,000 $15,827,000,000 $-20,441,000,000 $-205,000,000
2017 $172,000,000,000 $52,546,000,000 $40,241,000,000 $23,085,000,000 $16,470,000,000 $-13,035,000,000 $-1,254,000,000