Recent Annual Filings for BDTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,640,000 $-69,625,000 $-62,303,000 $25,547,000 $-19,788,000
2023 $158,567,000 $-80,645,000 $-66,717,000 $71,932,000 $21,561,000
2022 $156,255,000 $-92,579,000 $-85,082,000 $177,000 $-31,539,000
2021 $247,682,000 $-126,624,000 $-100,148,000 $729,000 $31,194,000
2020 $329,670,000 $-66,640,000 $-52,146,000 $214,944,000 $-118,893,000