Recent Annual Filings for PRLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $772,353,000 $503,877,000 $475,925,000 $23,562,000 $73,274,000 $-41,858,000 $26,864,000
2022 $802,168,000 $488,398,000 $586,275,000 $-121,000,000 $62,079,000 $-27,922,000 $-8,935,000
2021 $928,582,000 $488,098,000 $447,914,000 $19,975,000 $55,242,000 $-22,198,000 $-61,620,000
2020 $744,204,000 $434,395,000 $371,450,000 $54,465,000 $106,969,000 $-10,726,000 $770,000
2019 $673,667,000 $458,728,000 $377,535,000 $65,129,000 $116,052,000 $-31,617,000 $40,179,000
2018 $618,985,000 $445,596,000 $353,941,000 $73,330,000 $122,929,000 $-10,438,000 $48,339,000
2017 $518,738,000 $344,490,000 $270,055,000 $57,297,000 $81,748,000 $9,192,000 $-32,088,000
2016 $414,241,000 $298,055,000 $233,834,000 $37,166,000 $74,967,000 $7,847,000 $21,142,000