Recent Annual Filings for PJT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,434,978,000 $1,153,182,000 $975,573,000 $148,931,000 $441,534,000 $-228,077,000 $179,111,000
2022 $1,050,652,000 $1,025,505,000 $824,034,000 $159,468,000 $242,731,000 $-210,021,000 $-20,525,000
2021 $987,625,000 $991,945,000 $772,496,000 $188,511,000 $124,161,000 $-353,383,000 $-97,875,000
2020 $1,171,607,000 $1,052,300,000 $804,339,000 $214,736,000 $469,586,000 $-244,421,000 $79,413,000
2019 $952,777,000 $717,639,000 $635,449,000 $65,263,000 $211,405,000 $-101,291,000 $108,394,000
2018 $671,817,000 $580,248,000 $538,735,000 $41,006,000 $122,940,000 $-130,680,000 $-39,233,000
2017 $558,965,000 $499,282,000 $489,228,000 $-28,109,000 $111,215,000 $-79,639,000 $-6,812,000
2016 $590,476,000 $499,430,000 $484,930,000 $5,360,000 $116,851,000 $-32,517,000 $70,109,000