Recent Annual Filings for BCYC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $956,868,000 $35,275,000 $209,071,000 $-167,608,000 $-164,724,000 $519,750,000 $353,791,000
2023 $595,344,000 $26,976,000 $206,183,000 $-182,355,000 $-60,628,000 $250,027,000 $186,470,000
2022 $410,609,000 $14,463,000 $128,704,000 $-108,942,000 $-86,111,000 $6,692,000 $-98,406,000
2021 $479,792,000 $11,697,000 $80,179,000 $-67,014,000 $-14,794,000 $320,725,000 $302,690,000
2020 $161,152,000 $10,390,000 $62,124,000 $-52,668,000 $-17,789,000 $62,843,000 $43,873,000
2019 $110,194,000 $13,801,000 $44,663,000 $-30,392,000 $-28,613,000 $58,440,000 $28,737,000