Recent Annual Filings for PINE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $564,560,000 $45,644,000 $42,378,000 $-512,000 $25,644,000 $-11,376,000 $687,000
2022 $573,431,000 $45,203,000 $11,248,000 $42,399,000 $24,652,000 $17,673,000 $3,547,000
2021 $505,514,000 $30,128,000 $18,666,000 $12,367,000 $17,200,000 $186,395,000 $7,603,000
2020 $261,590,000 $19,248,000 $18,102,000 $504,000 $9,394,000 $94,033,000 $-10,448,000