Recent Annual Filings for PAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $576,247,000 $871,745,000 $817,801,000 $43,849,000 $63,634,000 $-207,000 $26,666,000
2023 $504,863,000 $614,490,000 $589,366,000 $22,431,000 $68,828,000 $-1,195,000 $33,334,000
2022 $461,539,000 $497,001,000 $498,309,000 $-703,000 $19,867,000 $-37,283,000 $-51,976,000
2021 $472,942,000 $395,524,000 $385,158,000 $9,252,000 $19,493,000 $213,487,000 $155,163,000
2017 $2,322,170,000 $1,870,976,000 $2,013,795,000 $-108,608,000 $165,966,000 $-112,457,000 $-15,452,000
2016 $2,494,807,000 $1,992,149,000 $1,990,322,000 $-58,373,000 $193,740,000 $24,359,000 $-60,518,000
2015 $2,473,062,000 $2,000,457,000 $1,927,509,000 $-107,134,000 $249,287,000 $-133,558,000 $-41,317,000
2014 $2,702,243,000 $1,868,874,000 $1,908,758,000 $-156,300,000 $199,067,000 $-128,071,000 $-18,033,000