Recent Annual Filings for PLBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,623,326,000 $84,325,000 $45,324,000 $35,938,000 $30,509,000 $-44,392,000 $-3,637,000
2023 $1,610,416,000 $74,592,000 $34,381,000 $34,068,000 $38,338,000 $-45,557,000 $-97,771,000
2022 $1,621,044,000 $59,758,000 $24,089,000 $-11,912,000 $56,885,000 $16,723,000 $-197,158,000
2021 $1,614,074,000 $48,070,000 $19,583,000 $17,864,000 $-8,418,000 $283,903,000 $195,675,000
2020 $1,111,576,000 $2,323,000 $-17,629,000 $17,171,000 $24,630,000 $227,738,000 $137,967,000
2019 $865,191,000 $2,695,000 $-18,685,000 $19,578,000 $15,477,000 $21,485,000 $256,000
2018 $824,398,000 $34,322,000 $15,196,000 $12,545,000 $15,639,000 $65,380,000 $-40,851,000
2017 $745,427,000 $28,953,000 $13,448,000 $8,685,000 $11,478,000 $79,949,000 $24,891,000