Recent Annual Filings for PHM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,087,050,000 $16,061,578,000 $2,602,372,000 $2,196,762,000 $-1,313,043,000 $754,624,000
2022 $14,796,515,000 $16,228,995,000 $2,617,362,000 $668,466,000 $-1,235,735,000 $-739,012,000
2021 $13,352,631,000 $13,926,882,000 $1,946,420,000 $1,004,021,000 $-1,678,559,000 $-798,670,000
2020 $12,205,498,000 $11,036,082,000 $1,406,939,000 $1,784,342,000 $-295,616,000 $1,380,779,000
2019 $10,715,597,000 $10,212,957,000 $1,016,800,000 $1,077,545,000 $-733,560,000 $117,756,000
2018 $10,172,976,000 $10,188,331,000 $1,022,123,000 $1,449,744,000 $-580,270,000 $827,532,000
2017 $9,686,649,000 $8,573,250,000 $447,302,000 $663,077,000 $-1,029,915,000 $-417,080,000
2016 $10,178,200,000 $7,668,476,000 $602,786,000 $68,270,000 $350,735,000 $-52,187,000