Recent Annual Filings for PRGS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,526,966,000 $753,409,000 $659,145,000 $64,389,000 $211,494,000 $640,823,000 $-8,881,000
2023 $1,602,783,000 $694,439,000 $614,782,000 $73,272,000 $173,920,000 $51,188,000 $-129,319,000
2022 $1,411,479,000 $602,013,000 $484,758,000 $92,277,000 $192,160,000 $-101,423,000 $100,871,000
2021 $1,363,537,000 $531,313,000 $435,779,000 $78,755,000 $178,530,000 $132,113,000 $57,416,000
2020 $1,041,782,000 $442,150,000 $345,515,000 $76,918,000 $144,847,000 $3,080,000 $-56,269,000
2019 $881,271,000 $413,298,000 $384,803,000 $24,602,000 $128,484,000 $130,292,000 $49,133,000
2018 $640,609,000 $397,165,000 $318,185,000 $54,277,000 $121,352,000 $-146,771,000 $-28,338,000
2017 $718,718,000 $397,572,000 $331,985,000 $46,979,000 $105,686,000 $-103,314,000 $-73,572,000