Recent Annual Filings for PRLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $175,515,000 $7,000,000 $134,173,000 $-127,361,000 $-102,888,000 $-120,000 $-12,817,000
2023 $277,665,000 $-119,917,000 $-107,063,000 $136,395,000 $-5,314,000
2022 $220,500,000 $-116,419,000 $-83,729,000 $815,000 $-1,223,000
2021 $305,098,000 $-112,405,000 $-83,531,000 $164,897,000 $-182,437,000
2020 $223,590,000 $-56,929,000 $-46,177,000 $246,228,000 $199,430,000