Recent Annual Filings for PWR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,683,894,000 $23,672,795,000 $22,460,765,000 $837,520,000 $2,081,196,000 $-305,636,000 $-518,759,000
2023 $16,237,225,000 $20,882,206,000 $19,912,250,000 $778,421,000 $1,575,952,000 $268,500,000 $854,802,000
2022 $13,464,337,000 $17,073,903,000 $16,370,017,000 $438,655,000 $1,130,312,000 $-311,071,000 $201,327,000
2021 $12,855,189,000 $12,980,213,000 $12,357,312,000 $487,291,000 $582,390,000 $2,360,877,000 $45,079,000
2020 $8,398,272,000 $11,202,672,000 $10,631,326,000 $460,780,000 $1,115,977,000 $-601,365,000 $17,063,000
2019 $8,331,682,000 $12,112,153,000 $11,539,866,000 $451,045,000 $526,551,000 $177,687,000 $86,489,000
2018 $7,075,787,000 $11,171,423,000 $10,713,757,000 $213,354,000 $358,789,000 $-16,570,000 $-60,451,000
2017 $6,480,154,000 $9,466,478,000 $9,112,721,000 $386,503,000 $372,475,000 $227,764,000 $26,102,000