Recent Annual Filings for PII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,525,200,000 $7,175,400,000 $7,034,600,000 $43,200,000 $268,200,000 $-59,200,000 $-79,900,000
2023 $5,516,300,000 $8,934,400,000 $8,314,000,000 $532,700,000 $925,800,000 $-431,300,000 $43,200,000
2022 $5,217,900,000 $8,589,000,000 $7,827,600,000 $437,500,000 $508,600,000 $-363,200,000 $-189,400,000
2021 $5,047,800,000 $8,198,200,000 $7,572,500,000 $475,300,000 $293,700,000 $-107,600,000 $-128,400,000
2020 $4,632,700,000 $7,027,900,000 $6,886,500,000 $139,200,000 $1,018,600,000 $-415,400,000 $461,200,000
2019 $4,430,529,000 $6,782,518,000 $6,374,718,000 $314,805,000 $655,036,000 $-411,830,000 $3,160,000
2018 $4,124,915,000 $6,078,540,000 $5,649,291,000 $317,913,000 $477,112,000 $523,418,000 $31,508,000
2017 $3,089,593,000 $5,428,477,000 $5,109,686,000 $210,700,000 $579,980,000 $-427,680,000 $11,020,000