Recent Annual Filings for PUMP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,223,645,000 $1,444,286,000 $1,611,246,000 $-137,859,000 $252,295,000 $-80,107,000 $17,089,000
2023 $1,480,312,000 $1,630,399,000 $1,500,056,000 $85,634,000 $374,742,000 $-46,123,000 $-55,508,000
2022 $1,335,786,000 $1,279,701,000 $1,282,292,000 $2,030,000 $300,429,000 $26,260,000 $-23,056,000
2021 $1,061,236,000 $874,514,000 $943,210,000 $-54,185,000 $154,714,000 $-7,276,000 $43,146,000
2020 $1,050,739,000 $789,232,000 $920,475,000 $-107,020,000 $139,124,000 $-125,171,000 $-80,264,000
2019 $1,436,111,000 $2,052,314,000 $1,830,952,000 $163,010,000 $455,290,000 $56,345,000 $16,336,000
2018 $1,274,522,000 $1,704,562,000 $1,471,893,000 $173,862,000 $393,079,000 $-3,724,000 $108,751,000
2017 $719,032,000 $981,865,000 $957,752,000 $12,613,000 $109,257,000 $62,565,000 $-109,647,000