Recent Annual Filings for PFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $14,210,810,000 $57,525,000 $-118,254,000 $152,328,000 $173,396,000 $289,951,000 $-6,253,000
2022 $13,783,436,000 $54,987,000 $-185,119,000 $3,740,000 $200,310,000 $-78,701,000 $-525,955,000
2021 $13,781,202,000 $57,558,000 $-169,560,000 $157,129,000 $158,182,000 $739,864,000 $180,110,000
2020 $12,919,741,000 $45,532,000 $-82,022,000 $110,785,000 $106,911,000 $746,678,000 $345,605,000
2019 $9,808,578,000 $41,354,000 $-105,734,000 $128,790,000 $136,925,000 $-135,705,000 $44,087,000
2018 $9,725,769,000 $37,284,000 $-106,633,000 $113,700,000 $155,719,000 $-250,597,000 $-48,173,000
2017 $9,845,274,000 $323,846,000 $183,369,000 $91,276,000 $117,220,000 $235,654,000 $46,537,000
2016 $9,500,465,000 $302,315,000 $177,533,000 $86,951,000 $127,309,000 $495,561,000 $42,071,000