Recent Annual Filings for PRK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,805,350,000 $645,553,000 $460,828,000 $171,436,000 $178,848,000 $-217,402,000 $-57,702,000
2023 $9,836,453,000 $471,670,000 $318,066,000 $162,937,000 $150,504,000 $-186,121,000 $28,540,000
2022 $9,854,993,000 $378,247,000 $197,788,000 $30,802,000 $134,862,000 $239,385,000 $-29,452,000
2021 $9,560,254,000 $345,853,000 $157,618,000 $163,529,000 $157,332,000 $103,515,000 $-151,294,000
2020 $9,279,021,000 $357,720,000 $203,075,000 $143,083,000 $111,646,000 $554,774,000 $210,518,000
2019 $8,558,377,000 $360,500,000 $235,729,000 $142,899,000 $111,014,000 $-178,351,000 $-7,258,000
2018 $7,804,308,000 $310,801,000 $179,502,000 $91,854,000 $132,950,000 $-179,140,000 $-1,898,000
2017 $7,537,620,000 $286,424,000 $167,955,000 $75,533,000 $87,991,000 $-3,354,000 $22,666,000