Recent Annual Filings for INMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,562,000 $14,000 $-42,068,000 $-41,858,000 $-33,361,000 $18,211,000 $-224,000
2023 $57,001,000 $155,000 $29,896,000 $-30,108,000 $-11,980,000 $-4,225,000 $100,000
2022 $81,795,000 $374,000 $27,673,000 $-27,999,000 $-22,686,000 $729,000 $700,000
2021 $99,945,000 $181,000 $30,521,000 $-30,350,000 $-28,504,000 $96,357,000 $52,843,000
2020 $40,655,936 $10,916 $12,238,592 $-12,079,936 $-8,943,646 $23,895,781 $14,971,358
2019 $24,470,321 $-7,693,357 $-5,384,656 $12,209,021 $6,809,321