Recent Annual Filings for PNFP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $52,589,449,000 $2,698,098,000 $459,637,000 $904,306,000 $3,973,722,000 $1,205,576,000
2023 $47,959,883,000 $2,353,368,000 $600,388,000 $478,404,000 $5,177,002,000 $1,052,967,000
2022 $41,970,021,000 $1,373,935,000 $262,795,000 $604,925,000 $3,155,357,000 $-2,924,157,000
2021 $38,469,399,000 $1,031,214,000 $458,660,000 $657,444,000 $3,095,601,000 $140,090,000
2020 $34,932,860,000 $1,021,042,000 $649,684,000 $457,636,000 $427,825,000 $6,575,579,000 $3,434,742,000
2019 $27,805,496,000 $1,067,936,000 $570,399,000 $483,520,000 $434,288,000 $1,989,788,000 $-194,985,000
2018 $25,031,044,000 $946,717,000 $496,769,000 $311,571,000 $470,757,000 $2,440,423,000 $-57,904,000
2017 $22,205,699,847 $636,138,249 $338,152,226 $183,970,162 $147,941,106 $2,545,613,698 $595,951,877