Recent Annual Filings for PWP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $761,108,000 $648,652,000 $761,472,000 $-107,709,000 $145,883,000 $-67,018,000 $75,936,000
2022 $717,093,000 $631,507,000 $652,927,000 $-41,429,000 $-17,773,000 $-136,768,000 $-330,609,000
2021 $718,327,000 $801,662,000 $778,712,000 $2,542,000 $234,908,000 $-55,021,000 $173,867,000