Recent Annual Filings for BHVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $513,212,000 $436,051,000 $-408,517,000 $-331,725,000 $211,908,000 $9,516,000
2022 $661,783,000 $-569,995,000 $-297,689,000 $767,597,000 $165,547,000
2021 $1,077,212,000 $462,509,000 $1,305,832,000 $-848,783,000 $-831,100,000 $844,849,000 $40,112,000
2020 $686,975,000 $63,627,000 $822,015,000 $-768,301,000 $-702,879,000 $788,824,000 $-183,496,000
2019 $344,264,000 $-528,805,000 $-377,331,000 $434,593,000 $53,478,000
2018 $290,012,000 $-240,922,000 $-197,141,000 $340,462,000 $132,781,000
2017 $146,888,000 $107,582,000 $-127,190,000 $-94,815,000 $209,759,000 $107,903,000