Recent Annual Filings for BCRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $490,420,000 $450,712,000 $453,255,000 $-89,297,000 $-52,020,000 $-5,761,000 $-6,124,000
2023 $516,960,000 $331,412,000 $435,121,000 $-225,228,000 $-95,141,000 $32,485,000 $-193,792,000
2022 $550,000,000 $270,827,000 $419,262,000 $-247,267,000 $-161,850,000 $88,027,000 $-201,495,000
2021 $588,151,000 $157,170,000 $334,890,000 $-183,888,000 $-142,157,000 $359,668,000 $233,386,000
2020 $334,715,000 $17,812,000 $192,569,000 $-182,850,000 $-137,216,000 $302,697,000 $158,625,000
2019 $175,282,000 $48,835,000 $148,290,000 $-108,561,000 $-89,584,000 $99,098,000 $87,448,000
2018 $146,841,000 $20,653,000 $114,873,000 $-101,306,000 $-92,565,000 $62,504,000 $-25,293,000
2017 $178,259,000 $25,186,000 $82,597,000 $-66,013,000 $-41,143,000 $135,703,000 $28,178,000