Recent Annual Filings for PRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,416,394,000 $560,968,000 $607,831,000 $-25,427,000 $188,388,000 $8,349,000 $151,180,000
2023 $2,315,422,000 $322,108,000 $260,525,000 $73,247,000 $193,000 $-64,453,000 $-79,474,000
2022 $2,456,616,000 $360,505,000 $263,278,000 $73,422,000 $-40,172,000 $-48,812,000 $-98,804,000
2021 $2,581,560,000 $362,338,000 $1,012,705,000 $-659,592,000 $72,350,000 $-761,431,000 $-1,915,753,000