Recent Annual Filings for PLAG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,416,978 $6,729,937 $14,187,130 $-7,746,350 $928,644 $-972,105 $-42,061
2023 $42,629,996 $27,120,236 $47,928,729 $-21,146,286 $-5,282,343 $2,888,224 $276,165
2022 $60,720,386 $44,756,826 $60,024,801 $-28,953,750 $-9,012,423 $10,840,795 $-664,192
2021 $86,015,582 $37,767,964 $47,702,615 $-9,229,139 $-519,396 $8,931,708 $-2,284,343
2020 $21,970,355 $3,638,801 $14,840,875 $-12,282,941 $-3,499,103 $238,396 $-4,113,544
2019 $25,898,098 $4,113,077 $9,949,729 $1,358,854 $-3,938,942 $10,791,656 $6,332,685