Recent Annual Filings for IMVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $666,365,000 $24,948,000 $283,717,000 $-258,280,000 $-214,227,000 $472,427,000 $258,833,000
2023 $405,838,000 $7,578,000 $218,529,000 $-210,512,000 $-188,193,000 $70,885,000 $-117,285,000
2022 $515,564,000 $-156,028,000 $-106,112,000 $200,129,000 $93,671,000
2021 $412,489,000 $-107,713,000 $-83,327,000 $383,112,000 $299,575,000
2020 $109,387,000 $-66,750,000 $-53,357,000 $146,974,000 $93,586,000