Recent Annual Filings for AXSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $568,498,000 $385,693,000 $666,255,000 $-287,216,000 $-128,410,000 $57,840,000 $-70,840,000
2023 $588,236,000 $270,600,000 $502,425,000 $-239,238,000 $-145,080,000 $331,013,000 $185,351,000
2022 $331,476,095 $50,037,106 $229,836,161 $-187,133,651 $-116,510,798 $284,582,008 $114,369,101
2021 $87,785,058 $-130,402,992 $-108,225,764 $11,129,714 $-97,403,599
2020 $186,134,323 $-102,900,600 $-78,456,569 $42,412,746 $-36,089,714
2019 $220,549,760 $-68,345,186 $-46,375,059 $252,388,605 $205,997,425
2018 $15,379,279 $-30,965,464 $-30,053,701 $10,034,016 $-20,052,381
2017 $35,555,564 $-28,943,392 $-26,471,652 $23,884,176 $-2,597,374