Recent Annual Filings for PNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $560,038,000,000 $21,555,000,000 $14,313,000,000 $7,100,000,000 $7,880,000,000 $-9,122,000,000 $-4,474,000,000
2023 $561,580,000,000 $21,490,000,000 $14,754,000,000 $8,107,000,000 $10,111,000,000 $-3,854,000,000 $-122,000,000
2022 $557,263,000,000 $21,120,000,000 $13,647,000,000 $-4,468,000,000 $9,083,000,000 $3,384,000,000 $-961,000,000
2021 $557,191,000,000 $19,211,000,000 $12,223,000,000 $3,364,000,000 $7,214,000,000 $-3,432,000,000 $987,000,000
2020 $466,679,000,000 $16,901,000,000 $13,472,000,000 $9,529,000,000 $4,659,000,000 $48,419,000,000 $1,956,000,000
2019 $410,295,000,000 $17,827,000,000 $11,347,000,000 $6,942,000,000 $7,363,000,000 $17,080,000,000 $-547,000,000
2018 $382,315,000,000 $17,132,000,000 $10,704,000,000 $4,763,000,000 $7,840,000,000 $-3,512,000,000 $359,000,000
2017 $380,768,000,000 $16,329,000,000 $10,839,000,000 $5,505,000,000 $5,699,000,000 $9,686,000,000 $370,000,000