Recent Annual Filings for PSIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $328,182,000 $475,967,000 $405,766,000 $69,279,000 $62,390,000 $-25,934,000 $31,897,000
2015 $359,936,000 $389,446,000 $375,556,000 $14,278,000 $-23,049,000 $68,503,000 $1,884,000
2014 $262,637,000 $347,995,000 $313,456,000 $23,726,000 $-15,685,000 $67,653,000 $255,000
2013 $126,619,000 $237,842,000 $251,843,000 $-18,760,000 $-12,435,000 $24,712,000 $5,763,000