Recent Annual Filings for PDSB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $45,358,657 $-37,610,384 $-35,030,223 $20,188,297 $-14,870,926
2023 $59,390,080 $-42,942,198 $-33,636,136 $16,376,493
2022 $77,007,923 $-40,854,855 $-25,709,706 $34,287,244
2021 $67,197,888 $-16,918,477 $-12,486,066 $48,889,123
2020 $30,890,379 $-14,847,380 $-13,149,135 $29,826,961
2019 $14,491,252 $-6,998,617 $-18,073,469 $750,000 $12,058,044