Recent Annual Filings for PBPB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $263,146,000 $462,598,000 $454,811,000 $41,332,000 $19,663,000 $-22,640,000 $-22,059,000
2023 $252,460,000 $491,409,000 $484,923,000 $5,577,000 $19,488,000 $10,202,000 $18,919,000
2022 $245,171,000 $451,973,000 $446,935,000 $4,711,000 $12,476,000 $-2,784,000 $1,266,000
2021 $253,237,000 $380,052,000 $403,503,000 $-23,623,000 $-4,873,000 $17,148,000 $3,227,000
2020 $283,357,000 $291,281,000 $363,489,000 $-65,672,000 $-11,609,000 $14,849,000 $-7,680,000
2019 $332,879,000 $409,707,000 $419,102,000 $-23,585,000 $18,168,000 $-4,772,000 $-969,000
2018 $153,215,000 $422,638,000 $433,382,000 $-8,549,000 $30,988,000 $-15,348,000 $-5,755,000
2017 $170,730,000 $428,111,000 $430,158,000 $-6,690,000 $41,819,000 $-4,984,000 $2,151,000