Recent Annual Filings for PLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $73,417,000 $53,399,000 $49,245,000 $2,932,000 $8,674,000 $-16,794,000 $-3,899,000
2023 $84,434,000 $65,494,000 $56,928,000 $8,312,000 $-1,318,000 $24,666,000 $6,637,000
2022 $55,787,000 $47,638,000 $62,035,000 $-14,927,000 $-25,000,000 $8,238,000 $-21,874,000
2021 $73,665,000 $38,350,000 $58,812,000 $-27,582,000 $-10,285,000 $12,078,000 $20,720,000
2020 $67,934,000 $62,898,000 $60,188,000 $-6,523,000 $-26,106,000 $46,467,000 $473,000
2019 $45,392,000 $54,693,000 $72,969,000 $-18,276,000 $-19,358,000 $20,016,000 $-225,000
2018 $61,131,000 $-26,457,000 $-7,742,000 $-4,752,000 $-13,355,000
2017 $72,214,000 $19,242,000 $104,518,000 $-85,276,000 $-9,994,000 $-1,419,000 $-12,118,000