Recent Annual Filings for PRU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $735,587,000,000 $70,405,000,000 $67,196,000,000 $2,639,000,000 $8,502,000,000 $19,394,000,000 $-943,000,000
2023 $721,123,000,000 $53,979,000,000 $50,907,000,000 $-190,000,000 $6,510,000,000 $7,739,000,000 $2,164,000,000
2022 $689,917,000,000 $60,050,000,000 $61,826,000,000 $-42,615,000,000 $5,158,000,000 $4,933,000,000 $2,294,000,000
2021 $937,582,000,000 $70,934,000,000 $61,553,000,000 $-1,635,000,000 $9,812,000,000 $-3,011,000,000 $1,150,000,000
2020 $940,722,000,000 $57,033,000,000 $57,356,000,000 $6,564,000,000 $8,368,000,000 $4,883,000,000 $-2,619,000,000
2019 $896,552,000,000 $64,807,000,000 $59,722,000,000 $17,367,000,000 $19,625,000,000 $-1,634,000,000 $979,000,000
2018 $815,078,000,000 $62,992,000,000 $58,158,000,000 $-2,881,000,000 $21,664,000,000 $781,000,000 $959,000,000
2017 $831,921,000,000 $59,689,000,000 $53,202,000,000 $10,409,000,000 $13,445,000,000 $-1,258,000,000 $363,000,000