Recent Annual Filings for EXEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,947,690,000 $2,168,701,000 $1,564,084,000 $523,670,000 $699,971,000 $-628,808,000 $-45,620,000
2023 $2,942,357,000 $1,830,208,000 $1,659,323,000 $218,536,000 $333,324,000 $-546,052,000 $-239,683,000
2022 $3,071,489,000 $1,611,062,000 $1,409,578,000 $168,519,000 $362,614,000 $586,000 $-161,214,000
2021 $2,137,333,000 $987,538,000 $877,478,000 $113,188,000 $208,982,000 $-25,132,000 $52,635,000
2019 $1,885,670,000 $967,775,000 $569,666,000 $324,782,000 $526,956,000 $12,553,000 $-47,738,000
2018 $1,422,286,000 $853,826,000 $401,734,000 $689,716,000 $415,720,000 $9,691,000 $127,561,000
2017 $655,294,000 $452,477,000 $293,900,000 $154,296,000 $165,611,000 $-169,928,000 $31,478,000
2016 $597,541,000 $191,454,000 $261,676,000 $-70,406,000 $206,296,000 $19,804,000 $10,052,000