Recent Annual Filings for PPTA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $117,609,997 $-14,483,001 $-11,890,427 $47,147,213 $40,927,265
2023 $83,087,238 $-18,771,180 $-21,188,652 $2,199,762 $-19,438,692
2022 $99,445,155 $-28,713,531 $-24,714,185 $25,180,027
2021 $124,497,766 $-35,952,026 $-28,646,958 $54,788,937 $22,815,080