Recent Annual Filings for PACK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,104,200,000 $368,900,000 $392,600,000 $-29,800,000 $41,400,000 $1,800,000 $14,100,000
2023 $1,122,700,000 $336,300,000 $367,600,000 $-30,200,000 $52,600,000 $-1,800,000 $-800,000
2022 $1,133,500,000 $326,500,000 $383,200,000 $-38,800,000 $1,100,000 $-4,500,000 $-41,100,000
2021 $1,213,400,000 $383,900,000 $388,800,000 $-10,900,000 $54,300,000 $72,000,000 $55,400,000
2020 $1,133,500,000 $298,200,000 $322,800,000 $-16,100,000 $63,800,000 $-1,600,000 $28,800,000
2019 $1,104,400,000 $269,500,000 $313,300,000 $-36,800,000 $26,300,000 $651,000,000 $10,700,000