Recent Annual Filings for INCY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,782,107,000 $3,695,649,000 $3,075,124,000 $595,636,000 $496,487,000 $-20,033,000 $262,101,000
2022 $5,840,984,000 $3,394,635,000 $2,815,195,000 $375,183,000 $969,941,000 $-794,000 $893,960,000
2021 $4,933,352,000 $2,986,267,000 $2,400,490,000 $944,487,000 $749,488,000 $6,176,000 $544,395,000
2020 $3,560,918,000 $2,666,702,000 $2,930,378,000 $-295,515,000 $-124,599,000 $71,709,000 $-318,942,000
2019 $3,426,750,000 $2,158,759,000 $1,756,753,000 $441,529,000 $710,656,000 $45,711,000 $668,721,000
2018 $2,645,762,000 $1,881,883,000 $1,752,660,000 $109,091,000 $336,227,000 $14,657,000 $264,552,000
2017 $2,302,582,000 $1,536,216,000 $1,779,950,000 $-317,266,000 $-92,988,000 $690,171,000 $247,166,000
2016 $1,638,597,000 $1,105,719,000 $960,721,000 $102,145,000 $304,756,000 $58,645,000 $130,904,000