Recent Annual Filings for PRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,582,022,000 $3,089,143,000 $2,149,896,000 $709,071,000 $862,088,000 $-551,141,000 $78,697,000
2023 $15,027,732,000 $2,815,691,000 $2,064,011,000 $488,003,000 $692,517,000 $-479,621,000 $122,845,000
2022 $15,348,877,000 $2,720,133,000 $2,226,384,000 $43,314,000 $757,665,000 $-457,850,000 $99,767,000
2021 $16,123,223,000 $2,709,732,000 $2,198,561,000 $314,662,000 $656,956,000 $107,974,000 $-155,068,000
2020 $14,905,285,000 $2,217,541,000 $1,710,811,000 $457,072,000 $643,417,000 $-301,790,000 $290,693,000
2019 $13,688,531,000 $2,052,504,000 $1,575,393,000 $453,623,000 $485,513,000 $-290,134,000 $-5,262,000
2018 $12,595,048,000 $1,899,843,000 $1,483,759,000 $252,019,000 $478,067,000 $-260,997,000 $-17,824,000
2017 $12,460,703,000 $1,689,102,000 $1,309,582,000 $364,225,000 $388,524,000 $-193,461,000 $67,986,000