Recent Annual Filings for FATE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $440,694,000 $13,631,000 $199,893,000 $-186,009,000 $-122,874,000 $99,892,000 $-10,764,000
2023 $506,217,000 $63,533,000 $224,461,000 $-159,059,000 $-132,263,000 $85,000 $-19,513,000
2022 $705,561,000 $96,300,000 $378,021,000 $-282,813,000 $-248,208,000 $9,207,000 $-72,250,000
2021 $921,455,000 $55,846,000 $267,997,000 $-212,983,000 $-162,870,000 $453,129,000 $-33,764,000
2020 $622,457,000 $31,434,000 $204,821,000 $-173,339,000 $-39,229,000 $282,838,000 $82,533,000
2019 $302,274,000 $10,680,000 $108,829,000 $-98,125,000 $-83,175,000 $149,928,000 $-90,700,000
2018 $213,032,000 $4,740,000 $71,338,000 $-66,597,000 $-38,650,000 $140,780,000 $101,667,000
2017 $105,292,000 $4,106,000 $46,231,000 $-42,954,000 $-36,905,000 $47,444,000 $343,000