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