Recent Annual Filings for PINS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,594,405,000 $3,055,071,000 $3,180,749,000 $-25,204,000 $612,961,000 $-826,763,000 $-249,128,000
2022 $3,862,730,000 $2,802,574,000 $2,904,251,000 $-105,285,000 $469,202,000 $-148,927,000 $190,596,000
2021 $3,537,238,000 $2,578,027,000 $2,251,840,000 $311,777,000 $752,907,000 $22,162,000 $748,153,000
2020 $2,609,459,000 $1,692,658,000 $1,835,162,000 $-126,490,000 $28,826,000 $19,638,000 $1,168,000
2019 $2,393,317,000 $1,142,761,000 $2,531,627,000 $-1,359,303,000 $657,000 $1,128,198,000 $542,453,000