Recent Annual Filings for AVDL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $164,698,000 $27,963,000 $188,740,000 $-157,102,000 $-128,511,000 $135,335,000 $-42,814,000
2022 $132,785,000 $98,561,000 $-139,865,000 $-70,304,000 $14,543,000 $23,273,000
2021 $247,265,000 $85,546,000 $-80,218,000 $-77,310,000 $263,000 $-21,014,000
2020 $311,637,000 $22,334,000 $16,519,000 $8,783,000 $-48,734,000 $179,683,000 $61,948,000
2019 $151,436,000 $59,215,000 $83,327,000 $-32,616,000 $-38,325,000 $-27,000 $449,000
2018 $190,300,000 $103,269,000 $208,195,000 $-95,454,000 $-82,716,000 $112,659,000 $-7,239,000
2017 $253,277,000 $173,245,000 $83,740,000 $68,570,000 $16,662,000 $-23,318,000 $-22,651,000