Recent Annual Filings for PSTL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $567,345,000 $63,712,000 $59,057,000 $1,083,000 $28,427,000 $45,007,000 $825,000
2022 $501,303,000 $53,330,000 $48,574,000 $12,993,000 $24,591,000 $90,572,000 $-4,984,000
2021 $377,717,000 $39,938,000 $37,271,000 $3,516,000 $17,095,000 $93,385,000 $3,755,000
2020 $258,884,811 $24,675,872 $25,227,408 $-640,878 $9,395,734 $106,843,205 $-9,913,269
2019 $136,788,197 $11,289,356 $12,742,038 $-1,492,431 $2,858,623 $82,117,142 $12,321,728