Recent Annual Filings for PL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $633,796,000 $244,352,000 $365,088,000 $-125,887,000 $-14,374,000 $-15,535,000 $27,796,000
2024 $701,997,000 $220,696,000 $360,390,000 $-141,186,000 $-50,711,000 $-1,598,000 $-85,878,000
2023 $752,723,000 $191,256,000 $352,375,000 $-161,791,000 $-73,933,000 $7,860,000 $-308,738,000
2022 $821,441,000 $131,209,000 $266,223,000 $-136,797,000 $-42,211,000 $489,184,000 $420,274,000
2014 $70,480,306,000 $4,403,572,000 $3,820,283,000 $1,308,885,000 $723,497,000 $-899,544,000 $-87,131,000
2013 $68,784,107,000 $3,958,999,000 $3,368,626,000 $-849,192,000 $499,550,000 $642,849,000 $97,741,000
2012 $57,384,672,000 $3,623,006,000 $3,170,035,000 $1,053,730,000 $692,084,000 $-40,671,000 $101,503,000
2011 $52,932,085,000 $3,566,142,000 $3,058,990,000 $1,012,280,000 $620,613,000 $173,696,000 $2,873,000