Recent Annual Filings for PLTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,340,884,000 $2,865,507,000 $2,376,334,000 $461,506,000 $1,153,865,000 $463,364,000 $1,269,829,000
2023 $4,522,425,000 $2,225,012,000 $1,987,921,000 $223,509,000 $712,183,000 $218,839,000 $-1,777,228,000
2022 $3,461,239,000 $1,905,871,000 $2,266,898,000 $-374,078,000 $223,737,000 $85,996,000 $260,421,000
2021 $3,247,450,000 $1,541,889,000 $2,030,383,000 $-519,983,000 $333,851,000 $306,747,000 $238,768,000
2020 $2,690,504,000 $1,092,673,000 $2,271,700,000 $-1,168,433,000 $-296,608,000 $1,036,453,000 $726,184,000