Recent Annual Filings for PRTH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,826,860,000 $879,702,000 $746,281,000 $-24,107,000 $85,609,000 $147,578,000 $197,641,000
2023 $1,615,337,000 $755,612,000 $674,088,000 $-49,084,000 $81,256,000 $210,105,000 $235,613,000
2022 $1,373,363,000 $663,641,000 $607,476,000 $-2,150,000 $70,518,000 $8,502,000 $42,517,000
2021 $1,351,942,000 $514,901,000 $481,808,000 $1,389,000 $9,377,000 $871,629,000 $429,973,000
2020 $417,829,000 $404,342,000 $383,481,000 $71,059,000 $47,072,000 $-175,813,000 $37,655,000
2019 $464,505,000 $371,854,000 $364,670,000 $-33,589,000 $39,364,000 $75,017,000 $16,634,000
2018 $388,618,000 $424,415,000 $404,496,000 $-15,041,000 $31,348,000 $67,252,000 $-10,328,000