Recent Annual Filings for PSNL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $225,099,000 $73,481,000 $183,417,000 $-107,606,000 $-56,258,000 $11,031,000 $-32,128,000
2022 $292,700,000 $65,047,000 $180,578,000 $-114,061,000 $-70,233,000 $1,366,000 $-16,330,000
2021 $396,528,000 $85,494,000 $150,847,000 $-65,414,000 $-70,828,000 $169,700,000 $38,803,000
2020 $244,842,000 $78,648,000 $120,794,000 $-41,252,000 $-42,653,000 $121,268,000 $13,472,000
2019 $157,291,000 $65,207,000 $87,625,000 $-25,075,000 $-18,069,000 $134,948,000 $35,300,000