Recent Annual Filings for PROV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,332,948,000 $45,992,000 $33,576,000 $8,552,000 $16,325,000 $136,006,000 $42,435,000
2022 $1,187,038,000 $34,730,000 $21,872,000 $9,023,000 $11,793,000 $-6,903,000 $-46,856,000
2021 $1,183,596,000 $35,201,000 $25,014,000 $7,529,000 $11,573,000 $-1,465,000 $-45,764,000
2020 $1,176,837,000 $42,456,000 $31,554,000 $7,632,000 $7,954,000 $86,355,000 $45,402,000
2019 $1,084,850,000 $44,378,000 $38,458,000 $4,368,000 $107,091,000 $-97,051,000 $27,331,000
2018 $1,175,549,000 $42,712,000 $13,249,000 $2,071,000 $27,986,000 $-30,206,000 $-29,525,000
2017 $1,200,633,000 $42,417,000 $11,982,000 $5,123,000 $82,906,000 $23,230,000 $21,620,000
2016 $1,171,381,000 $39,304,000 $11,004,000 $7,456,000 $47,735,000 $-14,010,000 $-30,197,000