Recent Annual Filings for PFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $305,046,700,000 $13,665,800,000 $12,927,000,000 $2,203,900,000 $3,792,400,000 $-2,585,800,000 $-140,300,000
2022 $292,239,600,000 $17,491,600,000 $11,431,500,000 $-4,088,900,000 $3,172,900,000 $-1,715,400,000 $2,516,000,000
2021 $304,657,200,000 $14,262,700,000 $12,179,100,000 $981,700,000 $3,218,800,000 $1,921,500,000 $-517,800,000
2020 $296,627,700,000 $14,741,700,000 $13,048,200,000 $2,775,500,000 $3,738,600,000 $1,621,100,000 $333,900,000
2019 $276,087,800,000 $16,222,100,000 $14,528,800,000 $4,050,800,000 $5,493,200,000 $1,733,700,000 $-461,600,000
2018 $243,036,100,000 $14,237,200,000 $12,452,800,000 $-282,000,000 $5,156,500,000 $1,052,700,000 $506,700,000
2017 $253,941,200,000 $14,093,200,000 $11,841,000,000 $3,168,800,000 $4,188,000,000 $-384,000,000 $-248,800,000
2016 $228,014,300,000 $12,394,100,000 $10,802,400,000 $1,582,800,000 $3,857,800,000 $1,450,900,000 $154,800,000