Recent Annual Filings for PCSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,229,289 $-11,850,118 $-11,245,042 $7,733,414 $-3,514,872
2023 $5,786,643 $-11,121,520 $-8,063,346 $6,268,724
2022 $8,619,851 $-27,424,229 $-9,605,143 $-388,843
2021 $26,463,505 $-11,427,534 $-8,717,291 $9,798,648
2020 $25,214,389 $-14,413,788 $-3,143,196 $17,867,884