Recent Annual Filings for PLOW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $589,983,000 $568,504,000 $494,613,000 $55,267,000 $41,131,000 $-116,960,000 $-19,037,000
2023 $593,418,000 $568,178,000 $538,944,000 $20,951,000 $12,469,000 $1,538,000 $3,486,000
2022 $596,891,000 $616,068,000 $568,707,000 $48,790,000 $40,030,000 $-44,277,000 $-16,294,000
2021 $572,476,000 $541,453,000 $506,865,000 $35,133,000 $60,535,000 $-53,393,000 $-4,066,000
2020 $579,202,000 $480,154,000 $578,983,000 $-89,234,000 $53,366,000 $-33,511,000 $5,365,000
2019 $705,695,000 $571,710,000 $509,093,000 $52,401,000 $77,296,000 $-57,918,000 $7,845,000
2018 $676,193,000 $524,067,000 $468,308,000 $45,557,000 $58,181,000 $-57,546,000 $-9,055,000
2017 $685,176,000 $474,927,000 $422,012,000 $55,424,000 $66,354,000 $-33,140,000 $18,266,000