Recent Annual Filings for PAHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $982,184,000 $1,017,679,000 $1,006,763,000 $-6,901,000 $87,594,000 $-6,768,000 $29,332,000
2023 $971,397,000 $977,889,000 $923,818,000 $39,509,000 $13,310,000 $26,987,000 $-32,967,000
2022 $931,699,000 $942,261,000 $869,934,000 $43,355,000 $31,649,000 $16,343,000 $24,036,000
2021 $841,325,000 $833,350,000 $766,882,000 $69,477,000 $48,306,000 $-16,995,000 $13,869,000
2020 $784,100,000 $800,354,000 $744,842,000 $-10,652,000 $59,348,000 $40,936,000 $-21,230,000
2019 $726,671,000 $827,995,000 $756,490,000 $45,015,000 $47,169,000 $-4,107,000 $28,405,000
2018 $671,679,000 $819,982,000 $731,912,000 $43,837,000 $70,008,000 $-11,775,000 $-26,915,000
2017 $623,397,000 $764,281,000 $683,738,000 $70,963,000 $98,385,000 $-53,738,000 $22,478,000