Recent Annual Filings for PCRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,574,386,000 $674,978,000 $587,303,000 $42,582,000 $154,649,000 $-183,031,000 $49,159,000
2022 $1,681,200,000 $666,823,000 $606,799,000 $15,362,000 $145,274,000 $-401,528,000 $-481,439,000
2021 $2,075,353,000 $541,533,000 $451,609,000 $41,829,000 $125,717,000 $380,694,000 $485,621,000
2020 $1,274,513,000 $429,647,000 $383,297,000 $145,519,000 $77,032,000 $222,304,000 $21,729,000
2019 $831,065,000 $421,026,000 $431,774,000 $-10,414,000 $70,520,000 $3,670,000 $-54,298,000
2018 $689,353,000 $337,277,000 $337,702,000 $-297,000 $48,870,000 $8,954,000 $78,400,000
2017 $628,371,000 $286,630,000 $329,101,000 $-43,035,000 $17,785,000 $224,162,000 $18,182,000
2016 $391,466,000 $276,371,000 $314,215,000 $-37,927,000 $33,453,000 $7,261,000 $-21,040,000