Recent Annual Filings for PPIH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $165,241,000 $158,384,000 $139,916,000 $10,445,000 $13,928,000 $-907,000 $9,877,000
2024 $155,711,000 $150,668,000 $140,777,000 $14,109,000 $14,731,000 $-3,256,000 $447,000
2023 $122,966,000 $142,569,000 $133,011,000 $2,600,000 $-1,241,000 $4,543,000 $-2,978,000
2022 $123,401,000 $138,552,000 $130,225,000 $6,245,000 $-2,574,000 $6,233,000 $1,396,000
2021 $102,691,000 $84,694,000 $92,469,000 $-7,169,000 $165,000 $-4,144,000 $-6,283,000
2020 $112,225,000 $127,663,000 $122,628,000 $2,696,000 $4,090,000 $-301,000 $1,921,000
2019 $102,205,000 $128,965,000 $127,344,000 $-1,943,000 $4,978,000 $1,134,000 $4,416,000
2018 $104,584,000 $105,248,000 $115,457,000 $-8,718,000 $-1,842,000 $3,456,000 $-380,000