Recent Annual Filings for PRAX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $483,110,000 $8,553,000 $208,718,000 $-182,165,000 $-131,757,000 $514,323,000 $134,072,000
2023 $87,948,000 $2,447,000 $128,820,000 $-123,104,000 $-111,136,000 $91,871,000 $19,685,000
2022 $115,128,000 $-214,026,000 $-185,043,000 $10,465,000 $-77,689,000
2021 $292,747,000 $-167,237,000 $-124,554,000 $107,586,000 $-157,488,000
2020 $303,177,000 $-61,820,000 $-52,623,000 $304,416,000