Recent Annual Filings for PAMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $741,654,000 $714,646,000 $751,411,000 $-31,795,000 $59,041,000 $8,592,000 $-32,554,000
2013 $4,265,351 $562,902 $8,231,310 $-7,670,424 $-4,967,225 $1,333,054 $-3,929,768
2012 $7,565,323 $233,649 $4,707,894 $-4,462,182 $-2,752,165 $8,191,929 $5,035,883