Recent Annual Filings for AKBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $220,670,000 $160,180,000 $229,590,000 $-69,410,000 $-40,659,000 $49,663,000 $8,971,000
2023 $241,703,000 $194,623,000 $246,548,000 $-51,925,000 $-23,384,000 $-25,206,000
2022 $351,830,000 $292,602,000 $385,164,000 $-92,562,000 $-73,154,000 $14,598,000 $-58,670,000
2021 $525,550,000 $213,578,000 $496,418,000 $-282,847,000 $-252,965,000 $133,731,000 $-79,293,000
2020 $644,139,000 $295,307,000 $678,764,000 $-383,444,000 $-110,388,000 $231,720,000 $81,328,000
2019 $771,201,000 $335,001,000 $621,291,000 $-279,398,000 $-257,441,000 $88,970,000 $42,705,000
2018 $996,540,000 $207,742,000 $379,668,000 $-143,407,000 $-97,494,000 $96,562,000 $35,662,000
2017 $364,247,000 $177,984,000 $257,901,000 $-77,314,000 $-56,159,000 $116,240,000 $-117,179,000