Recent Annual Filings for PFIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,091,657,000 $211,460,000 $202,992,000 $12,154,000 $33,923,000 $-472,584,000 $-51,514,000
2023 $3,742,289,000 $149,851,000 $117,350,000 $39,365,000 $33,252,000 $141,999,000 $149,497,000
2022 $3,553,515,000 $111,334,000 $65,968,000 $-12,732,000 $42,357,000 $183,397,000 $-242,065,000
2021 $3,369,483,000 $94,057,000 $40,540,000 $35,856,000 $40,771,000 $451,073,000 $51,741,000
2020 $2,883,802,000 $94,125,000 $59,950,000 $34,708,000 $37,180,000 $361,099,000 $197,039,000
2019 $2,475,327,000 $93,381,000 $64,490,000 $30,607,000 $37,079,000 $146,179,000 $-1,463,000
2018 $2,288,993,000 $84,661,000 $56,350,000 $23,648,000 $32,626,000 $97,308,000 $-4,872,000
2017 $2,169,031,000 $74,242,000 $47,605,000 $17,500,000 $28,593,000 $153,517,000 $-2,453,000