Recent Annual Filings for ARQT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $348,889,000 $196,542,000 $324,939,000 $-140,050,000 $-112,158,000 $66,202,000 $-17,136,000
2023 $341,365,000 $59,606,000 $300,707,000 $-261,050,000 $-247,057,000 $101,323,000 $34,498,000
2022 $449,274,000 $3,686,000 $305,313,000 $-312,289,000 $-257,715,000 $301,798,000 $-43,116,000
2021 $408,152,000 $-206,609,000 $-174,627,000 $281,947,000 $31,367,000
2020 $298,269,000 $-135,679,000 $-113,033,000 $298,145,000 $3,288,000