Recent Annual Filings for PH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,297,842,000 $19,929,606,000 $16,335,003,000 $2,699,075,000 $3,384,329,000 $-3,114,899,000 $-53,155,000
2023 $29,964,472,000 $19,065,194,000 $16,385,530,000 $2,333,262,000 $2,979,930,000 $-971,036,000 $-6,172,694,000
2022 $25,943,943,000 $15,861,608,000 $14,247,382,000 $1,339,134,000 $2,441,730,000 $3,915,636,000 $5,914,759,000
2021 $20,341,200,000 $14,347,640,000 $12,100,683,000 $2,738,248,000 $2,575,001,000 $-2,623,339,000 $47,603,000
2020 $19,738,189,000 $13,695,520,000 $12,182,893,000 $706,514,000 $2,070,949,000 $449,310,000 $-2,534,253,000
2019 $17,576,690,000 $14,320,324,000 $12,386,899,000 $1,218,136,000 $1,730,140,000 $902,306,000 $2,397,630,000
2018 $15,320,087,000 $14,302,392,000 $12,600,115,000 $1,221,919,000 $1,600,287,000 $-1,681,972,000 $-62,749,000
2017 $15,489,904,000 $12,029,312,000 $10,700,671,000 $1,286,973,000 $1,302,471,000 $1,782,628,000 $-336,767,000