Recent Annual Filings for PZG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $56,361,612 $-8,056,445 $-5,409,347 $10,107,486 $4,598,139
2023 $54,306,222 $-6,450,531 $-5,252,332 $3,719,796 $-1,659,236
2022 $56,012,713 $-7,837,316 $-6,701,139 $6,119,954 $-628,908
2021 $54,002,826 $330,259 $6,233,877 $-5,903,618 $-5,956,071 $3,722,554 $-2,321,017
2020 $53,913,498 $728,910 $7,159,051 $-6,430,141 $-5,145,291 $10,120,401 $4,970,391
2019 $49,275,729 $400,388 $6,370,436 $-5,970,048 $-5,633,515 $3,872,156 $166,301
2018 $51,196,620 $344,632 $6,412,786 $-6,068,154 $-5,840,679 $6,626,898 $-1,613,781
2017 $50,700,189 $280,671 $7,835,691 $-4,339,602 $-6,516,457 $3,558,497 $-3,963,088