Recent Annual Filings for PD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $927,266,000 $467,499,000 $509,252,000 $-43,288,000 $117,891,000 $-116,138,000 $-18,339,000
2024 $925,306,000 $430,699,000 $508,078,000 $-76,508,000 $71,974,000 $51,600,000 $92,648,000
2023 $817,873,000 $370,793,000 $500,857,000 $-130,148,000 $16,980,000 $-6,413,000 $-75,766,000
2022 $806,448,000 $281,396,000 $388,316,000 $-108,467,000 $-6,021,000 $-736,000 $10,619,000
2021 $795,443,000 $213,556,000 $286,365,000 $-68,697,000 $10,095,000 $254,367,000 $215,142,000
2020 $435,398,000 $166,351,000 $216,015,000 $-50,202,000 $-173,000 $225,944,000 $-6,299,000