Recent Annual Filings for PLSE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $132,460,000 $56,257,000 $-53,585,000 $-36,343,000 $110,141,000 $73,673,000
2023 $59,154,000 $43,574,000 $-42,210,000 $-33,041,000 $16,388,000 $-16,774,000
2022 $77,877,000 $700,000 $58,757,000 $-58,505,000 $-47,013,000 $79,939,000 $32,525,000
2021 $54,249,000 $1,418,000 $64,432,000 $-63,659,000 $-54,097,000 $62,685,000 $16,151,000
2020 $41,293,000 $114,000 $49,965,000 $-49,856,000 $-35,365,000 $30,885,000 $5,564,000
2019 $41,915,000 $983,000 $47,954,000 $-46,966,000 $-34,185,000 $82,000 $-44,204,000
2018 $70,640,000 $418,000 $37,963,000 $-37,495,000 $-23,896,000 $45,496,000 $47,717,000
2017 $49,821,000 $247,000 $25,814,000 $-25,611,000 $-11,087,000 $35,382,000 $1,297,000