Recent Annual Filings for PPBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,903,585,000 $822,568,000 $610,099,000 $182,621,000 $226,459,000 $-1,317,830,000 $-327,143,000
2023 $19,026,645,000 $887,985,000 $853,944,000 $196,474,000 $250,980,000 $-2,887,654,000 $-164,776,000
2022 $21,688,017,000 $768,578,000 $384,220,000 $26,358,000 $411,032,000 $545,607,000 $796,546,000
2021 $21,094,429,000 $696,739,000 $235,916,000 $271,735,000 $320,215,000 $1,111,419,000 $-576,063,000
2020 $19,736,544,000 $630,726,000 $558,125,000 $99,120,000 $212,298,000 $-228,865,000 $553,916,000
2019 $11,776,012,000 $526,107,000 $308,354,000 $186,842,000 $182,690,000 $39,005,000 $123,444,000
2018 $11,487,387,000 $448,423,000 $282,843,000 $117,242,000 $298,688,000 $-52,756,000 $6,242,000
2017 $8,024,501,000 $270,005,000 $167,779,000 $63,236,000 $83,999,000 $255,087,000 $43,207,000