Recent Annual Filings for PRIM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,195,868,000 $6,366,838,000 $6,111,921,000 $177,439,000 $508,313,000 $-244,358,000 $236,723,000
2023 $3,827,427,000 $5,715,309,000 $5,537,640,000 $127,977,000 $198,552,000 $-205,279,000 $-36,737,000
2022 $3,544,020,000 $4,420,599,000 $4,261,313,000 $129,703,000 $83,346,000 $452,043,000 $53,450,000
2021 $2,543,327,000 $3,497,632,000 $3,345,775,000 $115,479,000 $79,747,000 $485,733,000 $-125,332,000
2020 $1,969,580,000 $3,491,497,000 $3,345,858,000 $105,865,000 $311,927,000 $-62,823,000 $206,458,000
2019 $1,830,465,000 $3,106,329,000 $2,988,420,000 $85,081,000 $117,981,000 $-83,284,000 $-30,777,000
2018 $1,594,147,000 $2,939,478,000 $2,826,120,000 $86,685,000 $126,815,000 $63,939,000 $-19,322,000
2017 $1,255,740,000 $2,379,995,000 $2,274,712,000 $76,850,000 $188,942,000 $-22,946,000 $34,562,000