Recent Annual Filings for PW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $46,102,638 $3,049,875 $28,358,456 $-24,710,741 $-1,393,709 $-2,238,731 $-1,873,298
2023 $70,210,240 $2,357,695 $17,617,131 $-14,365,513 $-2,622,874 $-2,348,569 $257,013
2022 $86,196,923 $8,517,720 $22,771,203 $-14,253,483 $6,840,237 $14,791,443 $676,570
2021 $85,318,190 $8,457,914 $3,313,424 $5,144,490 $8,000,559 $31,666,206 $-2,430,525
2020 $40,539,219 $4,272,709 $2,100,835 $2,171,874 $2,932,051 $-878,070 $-10,265,513
2019 $37,707,801 $2,180,898 $1,234,004 $946,894 $1,372,267 $14,498,247 $14,071,493
2018 $21,895,136 $1,974,623 $1,135,812 $838,811 $1,265,960 $-641,679 $624,281
2017 $21,459,879 $1,982,265 $1,263,792 $718,473 $1,053,612 $-623,986 $429,626