Recent Annual Filings for PLNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,069,708,000 $1,181,654,000 $857,456,000 $171,723,000 $343,873,000 $-104,995,000 $27,553,000
2022 $2,854,589,000 $936,772,000 $706,694,000 $109,996,000 $240,207,000 $135,725,000 $-131,442,000
2021 $2,015,983,000 $587,023,000 $443,628,000 $46,107,000 $189,289,000 $-10,246,000 $88,141,000
2020 $1,849,737,000 $406,618,000 $346,858,000 $-15,480,000 $31,138,000 $57,850,000 $37,005,000
2019 $1,717,190,000 $688,803,000 $455,720,000 $135,622,000 $204,311,000 $64,348,000 $158,656,000
2018 $1,353,416,000 $572,898,000 $388,854,000 $103,951,000 $184,399,000 $109,920,000 $207,059,000
2017 $1,092,465,000 $429,942,000 $282,406,000 $56,770,000 $131,021,000 $-21,703,000 $72,687,000
2016 $1,001,442,000 $378,241,000 $262,579,000 $71,097,000 $108,817,000 $-85,183,000 $8,963,000