Recent Annual Filings for ALXO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $147,775,000 $-134,831,000 $-121,912,000 $30,817,000 $-4,839,000
2023 $242,553,000 $-159,704,000 $-130,364,000 $59,291,000 $-26,416,000
2022 $306,489,000 $-124,327,000 $-89,223,000 $9,860,000 $-314,779,000
2021 $380,183,000 $-83,463,000 $-68,101,000 $2,472,000 $-70,552,000
2020 $436,054,000 $1,182,000 $46,681,000 $-45,740,000 $-38,289,000 $462,881,000 $425,202,000