Recent Annual Filings for PMVP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $252,152,000 $11,171,000 $80,129,000 $-68,291,000 $-55,657,000 $35,577,000 $-70,625,000
2022 $270,308,000 $3,627,000 $76,953,000 $-73,684,000 $-63,760,000 $958,000 $-64,170,000
2021 $331,568,000 $449,000 $58,272,000 $-57,924,000 $-46,571,000 $2,022,000 $-188,133,000
2020 $365,531,000 $651,000 $35,085,000 $-34,437,000 $-32,739,000 $292,972,000 $288,144,000