Recent Annual Filings for PLAB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,712,059,000 $866,946,000 $619,531,000 $192,397,000 $261,444,000 $-7,730,000 $99,376,000
2023 $1,526,221,000 $892,076,000 $622,130,000 $205,246,000 $302,176,000 $-18,493,000 $179,458,000
2022 $1,315,830,000 $824,549,000 $585,516,000 $28,456,000 $275,187,000 $-38,689,000 $42,729,000
2021 $1,294,202,000 $663,761,000 $561,755,000 $87,225,000 $150,772,000 $-53,903,000 $-1,922,000
2020 $1,188,182,000 $609,691,000 $548,090,000 $76,334,000 $143,046,000 $-16,010,000 $72,311,000
2019 $1,118,665,000 $550,660,000 $499,959,000 $37,540,000 $68,386,000 $-42,059,000 $-122,698,000
2018 $1,110,009,000 $535,276,000 $466,705,000 $44,713,000 $130,567,000 $-13,805,000 $21,256,000
2017 $1,020,794,000 $450,678,000 $424,113,000 $41,695,000 $96,833,000 $-10,928,000 $-6,053,000