Recent Annual Filings for PLYM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,441,899,000 $199,848,000 $186,041,000 $4,198,000 $81,872,000 $-86,802,000 $-5,009,000
2022 $1,521,318,000 $183,536,000 $200,632,000 $13,019,000 $72,228,000 $167,968,000 $-12,161,000
2021 $1,270,805,000 $140,618,000 $155,885,000 $-15,267,000 $57,940,000 $309,460,000 $11,320,000
2020 $920,270,000 $109,851,000 $124,313,000 $-14,462,000 $41,745,000 $227,029,000 $9,656,000
2019 $685,481,000 $75,290,000 $87,228,000 $-11,938,000 $27,717,000 $180,187,000 $7,437,000
2018 $470,163,000 $49,217,000 $50,269,000 $-21,175,000 $14,867,000 $122,854,000 $-4,202,000
2017 $329,953,000 $24,818,000 $27,495,000 $-14,027,000 $7,581,000 $178,284,000 $11,974,000