Recent Annual Filings for PLTK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,639,200,000 $2,549,300,000 $2,157,700,000 $141,400,000 $490,100,000 $-167,100,000 $-459,100,000
2023 $3,175,000,000 $2,567,000,000 $2,065,400,000 $238,000,000 $515,600,000 $-18,200,000 $257,200,000
2022 $2,697,600,000 $2,615,500,000 $2,144,100,000 $289,700,000 $493,700,000 $-652,000,000 $-232,900,000
2021 $2,803,300,000 $2,583,000,000 $2,020,800,000 $295,000,000 $551,700,000 $559,700,000 $495,400,000