Recent Annual Filings for CNTA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $576,798,000 $-233,037,000 $-142,055,000 $364,752,000 $255,191,000
2023 $360,246,000 $6,853,000 $182,994,000 $-148,095,000 $-160,342,000 $21,117,000 $-265,614,000
2022 $444,307,000 $-218,392,000 $-200,546,000 $457,000 $-201,438,000
2021 $629,635,000 $-381,015,000 $-136,158,000 $660,147,000 $589,147,000