Recent Annual Filings for EPIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $128,112,003 $-28,485,690 $-22,716,199 $925,510 $69,998,521
2023 $149,122,131 $-26,567,596 $-19,781,716 $-68,157 $-23,377,022
2022 $169,505,295 $-35,161,917 $-28,704,169 $252,735 $-80,748,549
2021 $198,165,818 $-36,805,461 $-25,415,611 $141,990,753 $81,504,261
2020 $80,574,565 $-23,445,370 $-16,983,152 $41,776,625 $2,998,040