Recent Annual Filings for FGEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $214,525,000 $29,621,000 $180,037,000 $-46,436,000 $-137,999,000 $-255,000 $50,482,000
2023 $423,529,000 $147,752,000 $429,567,000 $-285,387,000 $-315,021,000 $122,749,000 $-38,615,000
2022 $610,087,000 $140,734,000 $441,759,000 $-295,211,000 $-145,933,000 $46,776,000 $-10,041,000
2021 $773,821,000 $235,309,000 $523,839,000 $-289,687,000 $-82,232,000 $-563,000 $-509,767,000
2020 $826,840,000 $176,319,000 $365,250,000 $-193,043,000 $81,602,000 $13,343,000 $547,432,000
2019 $857,397,000 $256,577,000 $333,219,000 $-76,047,000 $-78,705,000 $-4,300,000 $37,013,000
2018 $880,598,000 $212,958,000 $299,074,000 $-85,656,000 $-76,144,000 $13,875,000 $-584,392,000
2017 $898,650,000 $125,668,000 $251,550,000 $-127,038,000 $-66,513,000 $496,472,000 $499,876,000