Recent Annual Filings for PUBM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $695,243,000 $267,014,000 $256,509,000 $8,886,000 $81,121,000 $-55,976,000 $-13,873,000
2022 $642,175,000 $256,380,000 $218,913,000 $28,732,000 $87,212,000 $4,036,000 $9,877,000
2021 $550,215,000 $226,908,000 $162,105,000 $56,567,000 $88,681,000 $9,359,000 $1,317,000