Recent Annual Filings for PSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,804,061,000 $5,442,749,000 $5,178,696,000 $210,858,000 $407,699,000 $-21,871,000 $9,858,000
2022 $4,198,142,000 $4,195,272,000 $4,029,050,000 $118,266,000 $237,526,000 $100,368,000 $-79,574,000
2021 $3,830,940,000 $3,660,771,000 $3,548,183,000 $93,246,000 $205,574,000 $-106,503,000 $-141,836,000
2020 $3,937,704,000 $3,918,946,000 $3,757,533,000 $119,317,000 $289,161,000 $348,226,000 $291,018,000
2019 $3,450,368,000 $3,954,812,000 $3,887,570,000 $145,827,000 $220,240,000 $266,036,000 $-85,821,000