Recent Annual Filings for PDEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $52,477,000 $53,844,000 $51,210,000 $118,000 $6,199,000 $-4,271,000 $-305,000
2023 $51,823,000 $46,087,000 $36,659,000 $108,000 $5,462,000 $-2,490,000 $2,087,000
2022 $47,326,000 $42,041,000 $37,335,000 $3,855,000 $-847,000 $-790,000 $-2,872,000
2021 $40,320,000 $38,029,000 $32,403,000 $5,821,000 $-2,078,000 $3,088,000 $-2,700,000
2020 $31,126,000 $34,834,000 $26,932,000 $5,075,000 $4,945,000 $-3,979,000 $-1,321,000
2019 $25,520,000 $27,172,000 $21,725,000 $3,752,000 $3,326,000 $450,000 $2,554,000
2018 $19,917,000 $22,465,000 $19,855,000 $1,435,000 $3,096,000 $2,002,000 $983,000
2017 $16,351,000 $21,943,000 $19,191,000 $5,117,000 $3,235,000 $-298,000 $1,911,000