Recent Annual Filings for PRTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $210,574,000 $588,846,000 $629,180,000 $-40,329,000 $10,338,000 $-4,422,000 $-14,641,000
2023 $257,855,000 $675,729,000 $683,807,000 $-8,566,000 $50,001,000 $-5,916,000 $32,184,000
2022 $238,399,000 $661,604,000 $661,923,000 $-99,000 $15,368,000 $-2,153,000 $698,000
2020 $186,973,000 $443,884,000 $445,090,000 $-1,942,000 $-19,068,000 $62,361,000 $33,529,000
2019 $87,946,000 $280,657,000 $290,768,000 $-31,913,000 $6,877,000 $-465,000 $242,000
2018 $97,965,000 $289,467,000 $294,684,000 $-4,867,000 $6,181,000 $-1,283,000 $-819,000
2017 $100,698,000 $303,366,000 $300,332,000 $24,015,000 $11,634,000 $-10,565,000 $-3,793,000
2016 $83,756,000 $291,091,000 $294,326,000 $-1,201,000 $5,745,000 $-105,000 $-2,116,000