Recent Annual Filings for PNTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $539,691,000 $544,891,000 $519,722,000 $13,910,000 $33,090,000 $1,112,000 $3,980,000
2022 $512,119,000 $473,241,000 $460,502,000 $7,243,000 $9,044,000 $12,084,000 $-3,111,000
2021 $530,297,000 $439,694,000 $434,999,000 $2,148,000 $-18,223,000 $43,490,000 $5,147,000
2020 $506,976,000 $390,953,000 $372,036,000 $15,553,000 $50,204,000 $-8,947,000 $-359,000
2019 $447,750,000 $338,531,000 $332,861,000 $3,175,000 $9,554,000 $17,272,000 $361,000