Recent Annual Filings for PPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,650,576,000 $17,878,291,000 $16,466,022,000 $893,406,000 $1,990,127,000 $-150,911,000 $1,378,419,000
2023 $9,810,361,000 $17,362,217,000 $16,996,995,000 $482,282,000 $677,877,000 $116,727,000 $291,253,000
2022 $9,255,769,000 $17,468,377,000 $16,442,904,000 $458,087,000 $669,863,000 $-232,014,000 $-7,403,000
2021 $8,913,205,000 $14,777,458,000 $14,685,068,000 $3,891,000 $326,459,000 $901,311,000 $-98,285,000
2020 $7,474,497,000 $12,091,901,000 $11,930,076,000 $149,579,000 $724,247,000 $-136,708,000 $267,829,000
2019 $7,102,364,000 $11,409,219,000 $10,791,674,000 $509,241,000 $666,521,000 $-34,526,000 $-81,001,000
2018 $5,931,202,000 $10,937,784,000 $10,605,557,000 $150,110,000 $491,650,000 $-384,246,000 $-227,953,000
2017 $6,248,652,000 $10,767,863,000 $9,785,797,000 $813,676,000 $801,321,000 $466,395,000 $292,008,000