Recent Annual Filings for PANL
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$936,457,081 |
$536,536,246 |
$488,087,632 |
$31,769,493 |
$65,691,393 |
$-10,229,624 |
$-12,232,396 |
2023 |
$705,179,968 |
$499,267,834 |
$454,650,637 |
$28,537,772 |
$53,787,277 |
$-67,151,692 |
$-29,346,740 |
2022 |
$748,241,470 |
$699,706,906 |
$594,199,089 |
$85,507,704 |
$134,801,400 |
$-34,116,600 |
$72,175,704 |
2021 |
$707,024,006 |
$718,104,388 |
$639,232,183 |
$72,373,704 |
$61,745,306 |
$143,858,760 |
$7,811,686 |
2020 |
$450,404,145 |
$382,895,991 |
$363,198,893 |
$12,692,110 |
$20,835,502 |
$-18,605,662 |
$-4,657,875 |
2019 |
$479,902,831 |
$412,197,819 |
$388,939,607 |
$17,048,868 |
$44,458,732 |
$-916,130 |
$-3,059,644 |
2018 |
$453,474,622 |
$372,970,373 |
$336,899,635 |
$23,981,646 |
$40,134,949 |
$-5,042,485 |
$17,582,923 |
2017 |
$423,297,088 |
$385,088,209 |
$369,919,452 |
$9,100,655 |
$29,223,231 |
$47,539,368 |
$12,208,863 |