Recent Annual Filings for PMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,408,706,000 $334,194,000 $191,546,000 $160,984,000 $-2,702,883,000 $1,399,096,000 $56,609,000
2023 $13,113,887,000 $429,020,000 $184,625,000 $199,654,000 $1,340,173,000 $-1,149,228,000 $169,219,000
2022 $13,921,564,000 $303,771,000 $240,684,000 $-73,287,000 $1,784,471,000 $135,886,000 $52,883,000
2021 $13,772,708,000 $420,297,000 $375,636,000 $56,854,000 $-2,819,714,000 $1,727,980,000 $1,279,000
2020 $11,492,011,000 $469,351,000 $389,621,000 $52,373,000 $671,656,000 $-702,641,000 $-46,352,000
2019 $11,771,351,000 $488,815,000 $298,174,000 $226,357,000 $-2,985,074,000 $3,733,962,000 $44,211,000
2018 $7,813,361,000 $351,067,000 $193,079,000 $152,798,000 $-573,752,000 $1,980,242,000 $-17,802,000
2017 $5,604,933,000 $317,940,000 $193,394,000 $117,749,000 $223,125,000 $-861,635,000 $43,171,000