Recent Annual Filings for PET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,438,000 $70,507,000 $80,891,000 $-17,568,000 $-7,003,000 $-3,730,000 $-12,693,000
2023 $46,697,000 $83,916,000 $91,162,000 $-13,317,000 $-6,465,000 $-1,917,000 $-20,643,000
2022 $52,311,000 $54,865,000 $85,991,000 $-38,567,000 $-2,803,000 $37,089,000 $36,121,000