Recent Annual Filings for DVAX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $986,256,000 $277,246,000 $281,368,000 $24,695,000 $66,512,000 $-102,017,000 $-54,402,000
2023 $997,096,000 $232,284,000 $269,312,000 $-3,059,000 $100,563,000 $1,386,000 $-51,655,000
2022 $985,850,000 $722,683,000 $439,161,000 $289,984,000 $62,716,000 $19,525,000 $-234,197,000
2021 $1,039,246,000 $439,442,000 $304,956,000 $74,174,000 $335,528,000 $55,776,000 $404,098,000
2020 $353,272,000 $46,551,000 $114,922,000 $-72,580,000 $-92,251,000 $109,499,000 $-7,790,000
2019 $279,068,000 $35,219,000 $170,062,000 $-152,972,000 $-121,252,000 $154,351,000 $-9,867,000
2018 $210,884,000 $8,198,000 $167,097,000 $-160,033,000 $-131,301,000 $99,071,000 $22,754,000
2017 $218,785,000 $327,000 $95,481,000 $-92,411,000 $-77,518,000 $187,842,000 $2,295,000