Recent Annual Filings for PIII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $783,420,000 $1,500,455,000 $1,806,446,000 $-310,378,000 $-110,128,000 $98,771,000 $3,168,000
2023 $860,967,000 $1,266,375,000 $1,450,106,000 $-186,426,000 $-76,028,000 $100,332,000 $22,477,000
2022 $876,571,000 $1,049,471,000 $2,609,166,000 $-1,561,557,000 $-126,019,000 $11,375,000 $-122,377,000
2021 $2,364,108,460 $637,364,815 $841,702,682 $-204,337,867 $-66,471,425 $223,467,546 $100,930,925