Recent Annual Filings for PETS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $169,884,000 $281,064,000 $287,337,000 $-7,464,000 $4,317,000 $-12,437,000 $-48,790,000
2023 $164,117,000 $256,858,000 $255,274,000 $233,000 $27,803,000 $-24,537,000 $-6,994,000
2022 $176,319,000 $273,417,000 $246,346,000 $21,100,000 $18,498,000 $-24,384,000 $-7,638,000
2021 $187,497,000 $309,215,000 $269,999,000 $30,603,000 $40,075,000 $-22,687,000 $14,956,000
2020 $155,323,000 $284,125,000 $250,232,000 $25,851,000 $38,844,000 $-33,300,000 $3,233,000
2019 $154,427,000 $283,419,000 $234,298,000 $37,740,000 $45,138,000 $-21,925,000 $22,593,000
2018 $134,836,000 $273,800,000 $220,011,000 $37,283,000 $37,379,000 $-17,470,000 $19,206,000
2017 $112,809,000 $249,176,000 $211,252,000 $23,819,000 $47,204,000 $-15,509,000 $21,091,000