Recent Annual Filings for IRWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $350,908,000 $351,410,000 $258,286,000 $4,834,000 $103,549,000 $-106,970,000 $-3,563,000
2023 $471,073,000 $442,735,000 $1,388,165,000 $-1,005,270,000 $183,427,000 $277,160,000 $-565,731,000
2022 $1,100,519,000 $410,596,000 $160,259,000 $175,065,000 $273,763,000 $-237,553,000 $36,074,000
2021 $1,126,927,000 $413,753,000 $181,494,000 $528,448,000 $261,895,000 $-4,550,000 $257,080,000
2020 $559,238,000 $389,523,000 $246,583,000 $106,176,000 $168,836,000 $18,546,000 $185,540,000
2019 $402,748,000 $428,413,000 $308,290,000 $21,505,000 $10,725,000 $-1,185,000 $-1,604,000
2018 $332,050,000 $346,639,000 $585,531,000 $-282,289,000 $-70,882,000 $30,072,000 $48,056,000
2017 $605,674,000 $298,276,000 $375,661,000 $-117,009,000 $-99,563,000 $19,835,000 $71,732,000