Recent Annual Filings for AVXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $135,567,000 $7,320,000 $50,322,000 $-43,002,000 $-30,812,000 $11,975,000
2023 $154,386,000 $6,519,000 $54,017,000 $-47,505,000 $-27,785,000 $29,651,000
2022 $152,704,603 $946,988 $48,566,415 $-47,977,919 $-24,237,864 $21,287,980
2021 $161,616,490 $26,261 $37,667,330 $-37,908,634 $-30,383,674 $153,242,401 $-216,000
2020 $34,542,197 $179,973 $26,437,779 $-26,280,470 $-21,287,046 $28,350,434 $7,063,388
2019 $25,329,373 $207,280 $26,420,078 $-26,294,979 $-18,527,117 $17,782,109 $-745,008
2018 $24,376,136 $255,092 $17,635,755 $-17,453,409 $-12,582,406 $8,072,787 $-4,509,619
2017 $27,838,329 $88,098 $13,488,896 $-13,460,405 $-9,017,231 $27,270,674 $18,253,443