Recent Annual Filings for IBIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $28,734,000 $225,000 $16,859,000 $-24,907,000 $-18,554,000 $24,494,000 $6,846,000
2023 $41,207,000 $-64,797,000 $-30,436,000 $2,301,000 $-21,126,000
2022 $99,406,000 $2,383,000 $52,687,000 $-50,454,000 $-37,480,000 $-6,125,000 $-48,732,000
2021 $146,968,000 $2,371,000 $25,584,000 $-23,243,000 $-30,064,000 $78,835,000 $22,292,000
2020 $94,189,000 $1,638,000 $18,082,000 $-16,446,000 $-13,345,000 $65,192,000 $50,691,000
2019 $30,586,000 $2,018,000 $19,615,000 $-17,598,000 $-13,975,000 $3,453,000 $-11,513,000
2018 $43,083,000 $444,000 $16,552,000 $-16,109,000 $-13,480,000 $22,406,000 $7,846,000
2017 $36,010,000 $394,000 $16,533,000 $-16,139,000 $-13,163,000 $-170,000 $-14,926,000