Recent Annual Filings for PX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $869,275,000 $296,448,000 $268,085,000 $19,667,000 $100,970,000 $-59,108,000 $36,058,000
2023 $834,074,000 $241,734,000 $244,874,000 $-7,772,000 $47,685,000 $-42,870,000 $2,565,000
2022 $826,360,000 $198,360,000 $162,897,000 $29,399,000 $61,675,000 $22,925,000 $-13,990,000
2021 $676,217,000 $150,534,000 $146,837,000 $10,767,000 $49,019,000 $29,080,000 $30,699,000
2017 $20,436,000,000 $11,437,000,000 $9,150,000,000 $1,844,000,000 $3,041,000,000 $-1,656,000,000 $93,000,000
2016 $19,332,000,000 $10,534,000,000 $8,486,000,000 $1,530,000,000 $2,773,000,000 $-643,000,000 $377,000,000
2015 $18,319,000,000 $10,776,000,000 $8,616,000,000 $133,000,000 $2,682,000,000 $-1,297,000,000 $21,000,000
2014 $19,802,000,000 $12,273,000,000 $9,878,000,000 $489,000,000 $2,868,000,000 $-1,008,000,000 $-12,000,000