Recent Annual Filings for PKBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,142,236,000 $125,113,000 $88,816,000 $27,579,000 $35,158,000 $86,064,000 $41,151,000
2023 $2,023,500,000 $112,704,000 $75,014,000 $28,584,000 $23,018,000 $10,100,000 $-1,774,000
2022 $1,984,915,000 $87,483,000 $31,407,000 $41,052,000 $43,450,000 $-194,909,000 $-414,403,000
2021 $2,136,445,000 $82,072,000 $27,160,000 $40,757,000 $38,641,000 $20,122,000 $137,952,000
2020 $2,078,322,000 $84,538,000 $45,652,000 $29,280,000 $36,517,000 $364,264,000 $266,994,000
2019 $1,681,160,000 $79,540,000 $39,440,000 $30,978,000 $34,433,000 $178,838,000 $37,136,000
2018 $1,467,398,000 $61,864,000 $28,449,000 $24,535,000 $28,901,000 $303,346,000 $112,358,000
2017 $1,137,452,000 $48,655,000 $24,428,000 $219,000 $18,924,000 $108,455,000 $-28,607,000