Recent Annual Filings for PRVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $999,900,000 $1,657,737,000 $1,628,716,000 $21,028,000 $80,785,000 $3,705,000 $41,519,000
2022 $792,813,000 $1,356,660,000 $1,375,240,000 $-12,064,000 $47,196,000 $-19,677,000 $27,415,000
2021 $686,373,000 $966,220,000 $1,184,726,000 $-190,649,000 $55,058,000 $213,661,000 $235,944,000