Recent Annual Filings for BMRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,988,940,000 $2,853,915,000 $2,369,701,000 $517,300,000 $572,841,000 $-526,447,000 $182,885,000
2023 $6,841,603,000 $2,419,226,000 $2,261,129,000 $142,724,000 $159,259,000 $-18,727,000 $29,288,000
2022 $6,375,074,000 $2,096,039,000 $1,946,477,000 $123,262,000 $175,902,000 $-18,650,000 $137,223,000
2021 $6,003,325,000 $1,846,275,000 $1,928,616,000 $-33,509,000 $304,536,000 $-48,000 $-61,882,000
2020 $5,848,020,000 $1,860,455,000 $1,897,220,000 $822,797,000 $85,365,000 $181,118,000 $211,712,000
2019 $4,690,039,000 $1,704,048,000 $1,804,505,000 $-8,955,000 $48,262,000 $-74,674,000 $-56,536,000
2018 $4,427,128,000 $1,491,212,000 $1,614,736,000 $-48,393,000 $20,208,000 $-388,007,000 $-104,046,000
2017 $4,633,125,000 $1,313,646,000 $1,328,346,000 $-152,819,000 $-8,757,000 $507,145,000 $189,698,000