Recent Annual Filings for PRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,491,255,000 $2,408,264,000 $2,182,637,000 $138,838,000 $204,236,000 $-141,867,000 $23,536,000
2022 $1,491,909,000 $2,597,826,000 $2,449,582,000 $98,709,000 $242,479,000 $-227,224,000 $-38,279,000
2021 $1,621,761,000 $2,677,920,000 $2,344,393,000 $243,557,000 $245,961,000 $-30,281,000 $133,514,000
2020 $1,317,404,000 $2,484,595,000 $2,212,832,000 $-62,424,000 $455,964,000 $-362,554,000 $-21,110,000