Recent Annual Filings for AGIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,663,199,000 $36,498,000 $462,235,000 $672,648,000 $-389,841,000 $14,442,000 $-11,958,000
2023 $937,118,000 $26,823,000 $418,310,000 $-339,994,000 $-296,062,000 $5,433,000 $-51,054,000
2022 $1,238,718,000 $14,240,000 $403,287,000 $-243,138,000 $-309,478,000 $2,350,000 $-63,867,000
2021 $1,437,736,000 $378,418,000 $1,603,412,000 $-407,320,000 $-765,768,000 $75,690,000
2020 $852,952,000 $203,196,000 $519,345,000 $-327,467,000 $-290,759,000 $261,518,000 $46,505,000
2019 $890,741,000 $117,912,000 $544,245,000 $-409,099,000 $-370,622,000 $289,611,000 $10,429,000
2018 $858,457,000 $94,387,000 $440,415,000 $-346,810,000 $-304,421,000 $546,024,000 $-32,222,000
2017 $614,397,000 $43,011,000 $357,681,000 $-315,746,000 $-285,232,000 $285,110,000 $-58,030,000