Recent Annual Filings for POST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,854,200,000 $7,922,700,000 $7,450,600,000 $509,700,000 $931,700,000 $415,600,000 $673,700,000
2023 $11,646,700,000 $6,991,000,000 $6,578,100,000 $438,700,000 $750,300,000 $-555,700,000 $-472,900,000
2022 $11,308,000,000 $5,851,200,000 $4,955,900,000 $468,500,000 $382,600,000 $-386,700,000 $-234,100,000
2021 $12,414,700,000 $6,226,700,000 $5,889,500,000 $279,200,000 $588,200,000 $-167,500,000 $-369,200,000
2020 $12,146,700,000 $5,698,700,000 $5,635,300,000 $93,800,000 $625,600,000 $-272,000,000 $138,900,000
2019 $11,951,600,000 $5,681,100,000 $5,522,000,000 $68,600,000 $688,000,000 $-652,400,000 $60,000,000
2018 $13,057,500,000 $6,257,200,000 $5,992,500,000 $468,400,000 $719,300,000 $423,400,000 $-536,200,000
2017 $11,876,800,000 $5,225,800,000 $5,151,400,000 $68,700,000 $386,700,000 $2,053,100,000 $382,300,000