Recent Annual Filings for CYTK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $824,316,000 $7,530,000 $533,774,000 $-522,664,000 $-414,333,000 $221,317,000 $46,217,000
2022 $1,014,775,000 $94,588,000 $483,543,000 $-391,676,000 $-299,516,000 $516,166,000 $-45,484,000
2021 $841,319,000 $70,428,000 $285,742,000 $-216,332,000 $-142,522,000 $319,980,000 $29,681,000
2020 $533,803,000 $55,828,000 $183,118,000 $-127,820,000 $8,943,000 $234,124,000 $46,552,000
2019 $289,814,000 $26,868,000 $148,560,000 $-121,513,000 $-90,907,000 $159,791,000 $-5,823,000
2018 $211,178,000 $31,501,000 $137,790,000 $-106,132,000 $-101,215,000 $13,132,000 $-82,950,000
2017 $294,810,000 $13,368,000 $141,158,000 $-127,584,000 $-101,759,000 $225,919,000 $58,332,000
2016 $170,142,000 $106,407,000 $89,954,000 $16,441,000 $36,982,000 $16,892,000 $1,798,000