Recent Annual Filings for ADVM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $179,841,000 $1,000,000 $131,927,000 $-130,861,000 $-92,462,000 $120,003,000 $-14,348,000
2023 $173,010,000 $3,600,000 $121,843,000 $-116,107,000 $-90,902,000 $69,000 $6,042,000
2022 $308,372,000 $-155,353,000 $-108,091,000 $607,000 $34,236,000
2021 $439,727,000 $7,500,000 $153,040,000 $-145,993,000 $-107,831,000 $2,397,000 $-26,725,000
2020 $482,567,000 $-117,043,000 $-79,291,000 $355,985,000 $-3,473,000
2019 $222,727,000 $250,000 $64,736,000 $-64,412,000 $-49,170,000 $28,191,000 $-89,052,000
2018 $213,495,000 $1,612,000 $75,489,000 $-72,463,000 $-53,964,000 $69,949,000 $85,429,000
2017 $201,905,000 $1,849,000 $57,996,000 $-57,103,000 $-45,421,000 $16,748,000 $-151,651,000