Recent Annual Filings for ALKS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,055,567,000 $1,557,632,000 $1,136,996,000 $368,213,000 $439,124,000 $-494,139,000 $-166,323,000
2023 $2,136,223,000 $1,663,405,000 $1,249,283,000 $363,536,000 $401,353,000 $-289,714,000 $164,996,000
2022 $1,963,978,000 $1,111,795,000 $1,254,060,000 $-165,433,000 $21,044,000 $-1,574,000 $-45,071,000
2021 $2,024,484,000 $1,173,751,000 $1,203,038,000 $-50,543,000 $101,715,000 $29,072,000 $64,583,000
2020 $1,949,730,000 $1,038,756,000 $1,151,183,000 $-110,394,000 $82,842,000 $-2,171,000 $69,190,000
2019 $1,805,403,000 $1,170,947,000 $1,346,426,000 $-195,156,000 $72,077,000 $6,765,000 $-62,991,000
2018 $1,825,007,000 $1,094,274,000 $1,193,402,000 $-138,799,000 $99,281,000 $-1,620,000 $75,466,000
2017 $1,797,227,000 $903,374,000 $1,051,274,000 $-158,463,000 $19,190,000 $4,084,000 $4,918,000