Recent Annual Filings for IOVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $780,351,000 $1,189,000 $461,748,000 $-440,609,000 $-361,820,000 $462,959,000 $-56,843,000
2022 $663,982,000 $-396,194,000 $-292,757,000 $190,150,000 $153,848,000
2021 $777,333,000 $-342,872,000 $-227,941,000 $239,268,000 $11,459,000
2020 $768,458,000 $-259,782,000 $-205,134,000 $576,422,000 $53,435,000
2019 $344,655,000 $-197,294,000 $-158,889,000 $6,131,000 $-62,733,000
2018 $480,821,000 $-123,622,000 $-101,249,000 $424,307,000 $-63,221,000
2017 $155,373,000 $-92,093,000 $-78,709,000 $58,688,000 $38,656,000