Recent Annual Filings for PGRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,006,215,000 $742,788,000 $1,112,665,000 $-411,331,000 $277,859,000 $-57,979,000 $59,782,000
2022 $8,453,254,000 $740,377,000 $765,309,000 $22,127,000 $246,637,000 $-173,903,000 $-79,849,000
2021 $8,494,562,000 $726,786,000 $721,084,000 $18,481,000 $244,306,000 $-76,481,000 $64,342,000
2020 $8,554,097,000 $714,237,000 $726,865,000 $-33,090,000 $237,272,000 $-143,470,000 $133,837,000
2019 $8,734,135,000 $769,180,000 $798,471,000 $-57,466,000 $285,441,000 $4,077,000 $-33,922,000
2018 $8,755,978,000 $758,961,000 $736,829,000 $26,137,000 $156,523,000 $-198,149,000 $114,984,000
2017 $8,917,661,000 $718,967,000 $606,614,000 $117,954,000 $190,111,000 $-427,756,000 $58,086,000
2016 $8,867,168,000 $683,341,000 $679,487,000 $10,247,000 $145,040,000 $518,994,000 $27,068,000