Recent Annual Filings for PRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $419,902,000 $330,372,000 $349,533,000 $-20,959,000 $27,383,000 $-32,338,000 $-6,764,000
2023 $421,833,000 $303,708,000 $359,129,000 $-56,010,000 $9,877,000 $-32,357,000 $-24,880,000
2022 $452,952,000 $276,137,000 $357,451,000 $-82,840,000 $-23,906,000 $1,069,000 $-23,926,000
2021 $494,483,000 $251,423,000 $331,762,000 $-82,437,000 $-18,555,000 $2,471,000 $-101,581,000
2020 $539,971,000 $252,424,000 $328,732,000 $-76,504,000 $-49,389,000 $102,914,000 $23,057,000
2019 $513,307,000 $250,334,000 $318,791,000 $-69,618,000 $5,245,000 $22,991,000 $10,601,000
2018 $436,967,000 $197,024,000 $261,070,000 $-64,804,000 $5,703,000 $135,352,000 $134,971,000
2017 $288,683,000 $168,816,000 $246,593,000 $-75,832,000 $-25,313,000 $90,654,000 $42,466,000