Recent Annual Filings for PM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $65,304,000,000 $35,174,000,000 $24,724,000,000 $5,838,000,000 $9,204,000,000 $-5,582,000,000 $-71,000,000
2022 $61,681,000,000 $31,762,000,000 $20,128,000,000 $9,581,000,000 $10,803,000,000 $3,806,000,000 $-1,283,000,000
2021 $41,290,000,000 $31,405,000,000 $19,173,000,000 $11,235,000,000 $11,967,000,000 $-11,977,000,000 $-2,785,000,000
2020 $44,815,000,000 $28,694,000,000 $17,741,000,000 $6,812,000,000 $9,812,000,000 $-8,496,000,000 $420,000,000
2019 $42,875,000,000 $29,805,000,000 $19,933,000,000 $8,519,000,000 $10,090,000,000 $-8,061,000,000 $245,000,000
2018 $39,801,000,000 $29,625,000,000 $18,954,000,000 $6,639,000,000 $9,478,000,000 $-9,651,000,000 $-1,856,000,000
2017 $42,968,000,000 $78,098,000,000 $67,509,000,000 $7,365,000,000 $8,912,000,000 $-2,769,000,000 $4,208,000,000
2016 $36,851,000,000 $74,953,000,000 $65,029,000,000 $7,043,000,000 $8,077,000,000 $-5,413,000,000 $822,000,000