Recent Annual Filings for PGNY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $756,620,000 $1,088,598,000 $1,017,907,000 $64,355,000 $188,814,000 $-11,072,000 $-22,783,000
2022 $542,986,000 $786,913,000 $762,472,000 $30,952,000 $80,395,000 $-7,864,000 $28,665,000
2021 $358,065,000 $500,621,000 $468,186,000 $65,675,000 $26,037,000 $-13,695,000 $21,108,000
2020 $253,927,000 $344,858,000 $336,179,000 $46,460,000 $36,203,000 $-6,249,000 $-10,077,000
2019 $150,434,000 $229,683,000 $238,240,000 $-8,569,000 $-1,534,000 $84,545,000 $80,255,000