Recent Annual Filings for PRGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,647,700,000 $4,373,400,000 $4,454,100,000 $-344,900,000 $362,900,000 $-611,000,000 $-192,500,000
2023 $10,809,100,000 $4,655,600,000 $4,663,900,000 $25,000,000 $405,500,000 $-187,200,000 $150,600,000
2022 $11,017,300,000 $4,451,600,000 $4,372,700,000 $-203,100,000 $307,300,000 $421,600,000 $-1,278,600,000
2021 $10,425,700,000 $4,138,700,000 $3,728,300,000 $-428,400,000 $156,300,000 $-178,700,000 $1,237,800,000
2020 $11,488,400,000 $5,063,300,000 $4,947,900,000 $93,000,000 $636,200,000 $-181,100,000 $287,200,000
2019 $11,301,400,000 $4,837,400,000 $4,632,600,000 $200,900,000 $387,800,000 $1,800,000 $-196,800,000
2018 $10,983,400,000 $4,731,700,000 $4,441,100,000 $-36,500,000 $593,000,000 $-571,900,000 $-127,600,000
2017 $11,628,800,000 $4,946,200,000 $4,666,100,000 $454,500,000 $698,900,000 $-3,004,700,000 $56,400,000