Recent Annual Filings for PIPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,140,983,000 $1,358,113,000 $1,235,527,000 $100,578,000 $275,629,000 $-249,586,000 $15,992,000
2022 $2,181,557,000 $1,435,118,000 $1,300,749,000 $99,645,000 $-224,907,000 $-250,058,000 $-605,341,000
2021 $2,565,307,000 $2,041,795,000 $1,600,283,000 $329,601,000 $707,087,000 $-223,117,000 $463,030,000
2020 $1,997,140,000 $1,252,658,000 $1,184,110,000 $50,031,000 $779,765,000 $-87,555,000 $257,917,000