Recent Annual Filings for PINC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,401,449,000 $1,346,361,000 $1,196,571,000 $106,698,000 $296,560,000 $-192,720,000 $35,374,000
2023 $3,371,487,000 $1,336,095,000 $1,086,097,000 $174,882,000 $444,543,000 $-167,266,000 $3,655,000
2022 $3,357,127,000 $1,432,901,000 $1,106,001,000 $268,315,000 $444,234,000 $-347,789,000 $-42,995,000
2021 $3,522,898,000 $1,721,152,000 $1,470,511,000 $304,584,000 $407,402,000 $-202,997,000 $29,837,000
2020 $2,948,515,000 $1,299,592,000 $915,905,000 $292,180,000 $349,524,000 $-168,953,000 $-41,751,000
2019 $2,569,567,000 $1,217,638,000 $849,499,000 $284,079,000 $505,339,000 $-387,200,000 $-11,331,000
2018 $2,312,216,000 $1,661,256,000 $1,144,452,000 $257,570,000 $507,706,000 $-419,375,000 $-4,349,000
2017 $2,507,836,000 $1,454,673,000 $923,382,000 $449,605,000 $392,247,000 $-19,276,000 $-92,082,000