Recent Annual Filings for PRPL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $307,845,000 $487,877,000 $585,912,000 $-98,098,000 $-17,850,000 $27,534,000 $2,154,000
2023 $390,625,000 $510,541,000 $631,748,000 $-121,215,000 $-54,662,000 $55,826,000 $-14,897,000
2022 $433,333,000 $575,692,000 $615,955,000 $-89,927,000 $-28,773,000 $13,412,000 $-49,862,000
2021 $642,470,000 $726,227,000 $723,573,000 $3,871,000 $-30,903,000 $56,623,000 $-31,339,000
2020 $554,732,000 $648,471,000 $681,345,000 $10,875,000 $81,257,000 $47,359,000 $89,477,000
2019 $147,724,000 $428,358,000 $440,337,000 $-12,379,000 $22,915,000 $9,110,000 $21,246,000
2018 $71,709,000 $285,791,000 $305,405,000 $-19,614,000 $-21,657,000 $41,948,000 $8,639,000