Recent Annual Filings for ARWR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,139,802,000 $3,551,000 $616,011,000 $-601,721,000 $-462,851,000 $870,520,000 $-8,206,000
2023 $765,552,000 $240,735,000 $447,226,000 $-212,361,000 $-153,890,000 $253,053,000 $2,886,000
2022 $691,939,000 $243,231,000 $415,940,000 $-176,561,000 $-136,131,000 $65,186,000 $-76,429,000
2021 $710,148,000 $138,287,000 $279,133,000 $-140,935,000 $171,224,000 $11,305,000 $40,851,000
2020 $522,503,743 $87,992,066 $172,542,892 $-84,143,169 $-95,391,570 $257,947,873 $-78,221,461
2019 $349,845,437 $168,795,577 $100,647,175 $67,604,789 $173,034,923 $66,381,999 $191,670,915
2018 $111,609,951 $16,142,321 $70,590,399 $-54,505,274 $-47,223,417 $59,953,026 $5,294,646
2017 $104,022,280 $31,407,709 $65,785,604 $-34,354,512 $-23,938,972 $12,055,309 $-60,527,881