Recent Annual Filings for PLPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $603,151,000 $669,679,000 $150,694,000 $73,018,000 $107,642,000 $-48,922,000 $16,368,000
2022 $568,479,000 $637,021,000 $145,819,000 $46,131,000 $26,153,000 $22,543,000 $833,000
2021 $489,018,000 $517,417,000 $118,693,000 $28,553,000 $33,598,000 $-23,230,000 $-8,769,000
2020 $461,087,000 $466,449,000 $113,806,000 $32,563,000 $41,642,000 $-23,165,000 $5,912,000
2019 $433,571,000 $444,861,000 $107,968,000 $25,566,000 $27,217,000 $17,714,000 $-4,647,000
2018 $358,797,000 $420,878,000 $99,297,000 $14,438,000 $22,976,000 $-9,051,000 $-1,689,000
2017 $359,785,000 $378,212,000 $92,520,000 $22,583,000 $33,830,000 $-19,551,000 $13,621,000
2016 $340,937,000 $336,634,000 $87,935,000 $12,037,000 $25,974,000 $4,389,000 $344,000