Recent Annual Filings for PRSO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,206,000 $14,573,000 $27,008,000 $-10,728,000 $-4,579,000 $6,340,000
2023 $10,714,000 $13,749,000 $34,374,000 $-16,795,000 $-4,690,000 $3,439,000 $-245,000
2022 $22,486,000 $14,868,000 $47,180,000 $-32,423,000 $-16,020,000 $1,918,000 $-4,065,000
2021 $47,951,000 $5,679,000 $16,590,000 $-10,911,000 $-12,016,000 $9,569,000 $4,181,000