Recent Annual Filings for PLRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $512,154,000 $1,580,000 $185,725,000 $-159,033,000 $-116,361,000 $274,405,000 $31,032,000
2022 $350,613,000 $9,685,000 $136,885,000 $-125,078,000 $-94,631,000 $226,854,000 $-17,981,000
2021 $221,215,000 $7,572,000 $104,835,000 $-97,432,000 $-75,443,000 $2,527,000 $783,000
2020 $295,526,000 $41,817,000 $83,350,000 $-41,564,000 $-37,271,000 $213,212,000 $-34,925,000