Recent Annual Filings for POLA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,546,000 $13,970,000 $18,345,000 $-4,677,000 $-536,000 $504,000 $-51,000
2023 $25,259,000 $15,293,000 $21,283,000 $-6,548,000 $-3,430,000 $3,962,000 $338,000
2022 $24,188,000 $16,056,000 $21,589,000 $-5,584,000 $-6,507,000 $1,642,000 $-4,890,000
2021 $27,180,000 $16,896,000 $18,310,000 $-1,414,000 $-9,380,000 $12,906,000 $3,455,000
2020 $17,799,000 $9,031,000 $22,041,000 $-10,871,000 $-6,548,000 $5,373,000 $-1,194,000
2019 $23,563,215 $24,801,141 $28,845,892 $-4,044,751 $-2,166,684 $-295,087 $-2,799,961
2018 $25,240,106 $24,046,354 $25,109,606 $-848,252 $-7,847,693 $-138,402 $-8,561,085
2017 $24,524,040 $14,418,726 $15,176,142 $-757,416 $-1,587,130 $-111,744 $-2,040,995