Recent Annual Filings for PRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,574,273,000 $1,150,404,000 $1,087,326,000 $84,842,000 $-10,715,000 $-10,974,000 $-11,017,000
2023 $5,631,925,000 $1,137,212,000 $1,176,361,000 $55,514,000 $-49,885,000 $-55,315,000 $35,939,000
2022 $5,699,999,000 $1,106,688,000 $1,112,904,000 $-315,293,000 $-29,841,000 $-21,805,000 $-113,643,000
2021 $6,191,477,000 $1,124,410,000 $1,052,211,000 $85,181,000 $73,970,000 $-60,624,000 $-72,180,000
2020 $4,654,803,000 $874,940,000 $1,091,996,000 $-137,455,000 $92,343,000 $-43,446,000 $40,413,000
2019 $4,805,599,000 $999,834,000 $1,028,638,000 $54,870,000 $148,166,000 $-103,790,000 $94,898,000
2018 $4,600,726,000 $886,030,000 $857,005,000 $11,819,000 $177,265,000 $-446,186,000 $-54,024,000
2017 $4,929,197,000 $866,149,000 $737,526,000 $104,776,000 $148,996,000 $-356,515,000 $17,148,000