Recent Annual Filings for PG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,370,000,000 $84,039,000,000 $65,278,000,000 $15,291,000,000 $19,846,000,000 $-14,855,000,000 $1,236,000,000
2023 $120,829,000,000 $82,006,000,000 $63,872,000,000 $14,700,000,000 $16,848,000,000 $-12,146,000,000 $1,032,000,000
2022 $117,208,000,000 $80,187,000,000 $62,374,000,000 $16,340,000,000 $16,723,000,000 $-14,876,000,000 $-3,074,000,000
2021 $119,307,000,000 $76,118,000,000 $58,132,000,000 $16,777,000,000 $18,371,000,000 $-21,531,000,000 $-5,893,000,000
2020 $120,700,000,000 $70,950,000,000 $55,244,000,000 $11,858,000,000 $17,403,000,000 $-8,367,000,000 $11,942,000,000
2019 $115,095,000,000 $67,684,000,000 $62,197,000,000 $4,106,000,000 $15,242,000,000 $-9,994,000,000 $1,670,000,000
2018 $118,310,000,000 $66,832,000,000 $53,121,000,000 $9,742,000,000 $14,867,000,000 $-14,375,000,000 $-3,000,000,000
2017 $120,406,000,000 $65,058,000,000 $51,103,000,000 $16,686,000,000 $12,753,000,000 $-8,568,000,000 $-1,533,000,000