Recent Annual Filings for INSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,025,231,000 $363,707,000 $1,241,959,000 $-915,316,000 $-683,882,000 $1,341,020,000 $72,656,000
2023 $1,329,837,000 $305,208,000 $1,014,834,000 $-751,068,000 $-536,247,000 $168,439,000 $-591,662,000
2022 $1,656,435,000 $245,358,000 $702,679,000 $-481,746,000 $-400,439,000 $793,273,000 $357,254,000
2021 $1,243,508,000 $188,461,000 $563,555,000 $-433,879,000 $-363,302,000 $612,546,000 $184,026,000
2020 $796,155,000 $164,413,000 $429,645,000 $-293,887,000 $-219,348,000 $271,003,000 $45,327,000
2019 $742,299,000 $136,467,000 $347,500,000 $-254,338,000 $-250,649,000 $285,278,000 $-7,643,000
2018 $604,556,000 $9,835,000 $317,173,000 $-324,283,000 $-257,977,000 $386,743,000 $113,907,000
2017 $462,047,000 $-192,587,000 $-159,617,000 $381,089,000 $218,574,000