Recent Annual Filings for PCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $798,385,000 $-289,026,000 $-144,826,000 $-109,168,000 $-261,003,000
2023 $1,039,373,000 $-101,106,000 $-94,906,000 $272,000,000 $74,991,000
2022 $861,336,000 $2,641,000 $87,387,000 $-85,150,000 $-65,478,000 $247,530,000 $-36,335,000
2021 $664,684,000 $-77,739,000 $-54,507,000 $293,366,000 $-66,716,000