Recent Annual Filings for ADPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $661,134,000 $170,276,000 $397,311,000 $-220,973,000 $-156,324,000 $2,245,000 $-24,432,000
2022 $856,617,000 $185,308,000 $385,494,000 $-203,347,000 $-183,945,000 $132,265,000 $-48,775,000
2021 $923,344,000 $154,344,000 $363,310,000 $-209,328,000 $-192,727,000 $27,146,000 $15,629,000
2020 $1,116,414,000 $98,382,000 $251,199,000 $-146,005,000 $-149,683,000 $293,587,000 $26,860,000
2019 $912,302,000 $85,071,000 $163,462,000 $-67,828,000 $205,404,000 $319,916,000 $43,623,000
2015 $525,281,000 $364,687,000 $323,131,000 $32,897,000 $13,081,000 $6,296,000 $14,035,000
2014 $282,818,000 $210,694,000 $229,292,000 $-17,346,000 $-24,698,000 $64,653,000 $-9,493,000