Recent Annual Filings for PCOR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,101,371,000 $1,151,708,000 $1,255,889,000 $-107,318,000 $196,172,000 $36,236,000 $79,932,000
2023 $1,893,568,000 $950,010,000 $1,138,431,000 $-188,753,000 $92,015,000 $41,165,000 $57,974,000
2022 $1,740,410,000 $720,203,000 $1,006,668,000 $-288,664,000 $12,608,000 $38,652,000 $-289,396,000
2021 $1,690,657,000 $514,821,000 $803,744,000 $-265,935,000 $36,730,000 $711,826,000 $205,959,000