Recent Annual Filings for ALNY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,239,983,000 $2,248,243,000 $2,425,128,000 $-289,300,000 $-8,312,000 $294,159,000 $153,768,000
2023 $3,829,880,000 $1,828,292,000 $2,110,467,000 $-418,963,000 $104,156,000 $172,131,000 $-53,672,000
2022 $3,546,359,000 $1,037,418,000 $1,822,490,000 $-1,142,551,000 $-541,274,000 $425,753,000 $46,403,000
2021 $3,643,304,000 $844,287,000 $1,552,939,000 $-842,461,000 $-641,693,000 $1,247,118,000 $323,107,000
2020 $3,407,061,000 $492,853,000 $1,321,291,000 $-865,385,000 $-614,961,000 $994,979,000 $-50,582,000
2019 $2,395,134,000 $219,750,000 $1,159,181,000 $-889,421,000 $-278,427,000 $823,184,000 $126,997,000
2018 $1,574,802,000 $74,908,000 $889,581,000 $-760,277,000 $-562,616,000 $65,470,000 $-224,201,000
2017 $1,994,730,000 $89,912,000 $580,786,000 $-491,866,000 $-382,786,000 $1,124,891,000 $451,744,000