Recent Annual Filings for IONS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,003,675,000 $705,138,000 $1,180,219,000 $-452,063,000 $-500,947,000 $478,058,000 $-156,916,000
2023 $2,990,072,000 $787,647,000 $1,141,377,000 $-341,451,000 $-307,513,000 $644,082,000 $122,442,000
2022 $2,533,876,000 $587,367,000 $997,558,000 $-294,534,000 $-274,370,000 $-55,295,000 $-592,301,000
2021 $2,611,690,000 $810,456,000 $840,642,000 $-40,194,000 $30,799,000 $245,933,000 $471,527,000
2020 $2,389,755,000 $729,264,000 $901,346,000 $-482,547,000 $35,892,000 $-596,609,000 $-285,623,000
2019 $3,233,112,000 $1,122,599,000 $756,716,000 $309,988,000 $345,720,000 $100,021,000 $404,467,000
2018 $2,667,784,000 $599,674,000 $675,830,000 $214,728,000 $602,888,000 $475,865,000 $149,190,000
2017 $1,322,024,000 $507,666,000 $530,942,000 $-18,697,000 $174,149,000 $229,087,000 $44,945,000