Recent Annual Filings for PFSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $18,844,563,000 $13,403,000 $-170,228,000 $144,656,000 $-1,582,219,000 $1,465,339,000 $-390,168,000
2022 $16,822,584,000 $12,392,000 $-652,855,000 $475,507,000 $6,033,235,000 $-4,323,207,000 $988,446,000
2021 $18,776,612,000 $7,325,000 $-1,351,858,000 $1,003,490,000 $2,563,061,000 $-2,451,380,000 $-192,688,000
2020 $31,597,795,000 $6,737,000 $-2,233,872,000 $1,646,884,000 $-6,198,938,000 $5,760,107,000 $344,203,000
2019 $10,204,017,000 $8,880,000 $-520,564,000 $392,965,000 $-2,245,123,000 $2,128,995,000 $32,654,000
2018 $7,478,573,000 $984,629,000 $716,932,000 $244,443,000 $572,396,000 $-132,034,000 $117,751,000
2017 $7,368,093,000 $955,463,000 $619,554,000 $311,522,000 $-883,585,000 $1,161,174,000 $-61,642,000
2016 $5,133,902,000 $931,887,000 $548,804,000 $336,980,000 $-938,522,000 $967,156,000 $-6,105,000