Recent Annual Filings for PRAA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,525,354,000 $802,554,000 $885,441,000 $-42,135,000 $-97,535,000 $355,300,000 $28,934,000
2022 $4,175,674,000 $966,524,000 $811,739,000 $45,865,000 $21,592,000 $-121,342,000 $-4,314,000
2021 $4,366,243,000 $1,095,732,000 $845,406,000 $166,920,000 $84,925,000 $-262,812,000 $-31,975,000
2020 $4,453,061,000 $1,065,414,000 $856,469,000 $167,708,000 $141,704,000 $-252,100,000 $-2,760,000
2019 $4,423,891,000 $1,017,081,000 $899,722,000 $78,227,000 $133,388,000 $339,523,000 $25,112,000
2018 $3,909,559,000 $908,256,000 $818,759,000 $12,190,000 $80,866,000 $294,926,000 $-21,821,000
2017 $3,697,764,000 $813,574,000 $656,035,000 $236,933,000 $843,000 $295,698,000 $26,229,000
2016 $3,163,999,000 $830,580,000 $696,497,000 $76,333,000 $103,030,000 $97,262,000 $22,915,000