Recent Annual Filings for PKG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,833,200,000 $8,383,300,000 $7,318,900,000 $832,600,000 $1,191,200,000 $-876,400,000 $37,000,000
2023 $8,681,100,000 $7,802,400,000 $6,788,300,000 $796,700,000 $1,315,100,000 $-112,000,000 $328,000,000
2022 $8,003,800,000 $8,478,000,000 $7,113,200,000 $1,002,600,000 $1,495,000,000 $-960,000,000 $-298,700,000
2021 $7,836,800,000 $7,730,300,000 $6,621,600,000 $910,400,000 $1,094,100,000 $-655,600,000 $-355,900,000
2020 $7,433,200,000 $6,658,200,000 $6,025,500,000 $476,000,000 $1,032,800,000 $-311,600,000 $295,100,000
2019 $7,235,800,000 $6,964,300,000 $6,047,300,000 $675,700,000 $1,207,400,000 $-342,800,000 $318,000,000
2018 $6,569,700,000 $7,014,600,000 $6,044,100,000 $756,100,000 $1,180,100,000 $-427,300,000 $144,600,000
2017 $6,197,500,000 $6,444,900,000 $5,616,300,000 $651,300,000 $856,100,000 $-269,400,000 $-22,400,000