Recent Annual Filings for PRCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $404,717,000 $136,191,000 $245,361,000 $-105,807,000 $-108,003,000 $167,795,000 $34,586,000
2022 $309,329,000 $75,014,000 $155,738,000 $-87,106,000 $-80,382,000 $3,612,000 $-79,423,000
2021 $337,024,000 $34,473,000 $88,637,000 $-59,893,000 $-57,334,000 $262,116,000 $204,190,000