Recent Annual Filings for FOLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $777,880,000 $399,356,000 $549,457,000 $-134,238,000 $-69,091,000 $61,677,000 $96,962,000
2022 $724,167,000 $329,233,000 $571,272,000 $-253,654,000 $-166,575,000 $-7,463,000 $-96,341,000
2021 $905,140,000 $305,514,000 $547,068,000 $-253,706,000 $-202,491,000 $212,073,000 $83,294,000
2020 $886,520,000 $260,886,000 $535,140,000 $-271,450,000 $-233,290,000 $262,858,000 $19,819,000
2019 $850,207,000 $182,237,000 $538,147,000 $-353,631,000 $-250,416,000 $217,502,000 $63,968,000
2018 $789,951,000 $91,245,000 $440,334,000 $-346,449,000 $-299,955,000 $450,775,000 $31,138,000
2017 $627,024,000 $36,930,000 $486,051,000 $-288,144,000 $-215,485,000 $247,434,000 $-137,966,000
2016 $1,036,845,000 $4,958,000 $208,739,000 $-197,880,000 $-150,534,000 $272,715,000 $117,541,000