Recent Annual Filings for PSTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,963,942,000 $3,168,164,000 $3,020,330,000 $111,475,000 $753,598,000 $-509,779,000 $25,619,000
2024 $3,655,760,000 $2,830,621,000 $2,740,035,000 $73,033,000 $677,722,000 $-560,235,000 $120,733,000
2023 $3,543,460,000 $2,753,434,000 $2,661,626,000 $65,932,000 $767,234,000 $-431,166,000 $114,655,000
2022 $3,135,315,000 $2,180,848,000 $2,309,344,000 $-159,034,000 $410,127,000 $-127,792,000 $129,052,000
2021 $2,819,440,000 $1,684,179,000 $1,954,339,000 $-280,115,000 $187,641,000 $200,237,000 $-30,231,000
2020 $2,364,204,000 $1,643,440,000 $1,838,106,000 $-195,200,000 $189,574,000 $49,246,000 $-85,891,000
2019 $1,973,025,000 $1,359,824,000 $1,537,097,000 $-176,783,000 $164,423,000 $551,914,000 $204,993,000
2018 $1,079,407,000 $1,023,019,000 $1,196,732,000 $-178,957,000 $72,756,000 $46,814,000 $60,382,000