Recent Annual Filings for KPTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $240,438,000 $146,033,000 $288,809,000 $-142,622,000 $-92,723,000 $1,124,000 $-83,693,000
2022 $358,172,000 $157,074,000 $321,996,000 $-166,120,000 $-149,554,000 $193,738,000 $-60,560,000
2021 $305,305,000 $209,819,000 $333,639,000 $-124,415,000 $-107,116,000 $73,648,000 $108,324,000
2020 $313,050,000 $108,085,000 $304,049,000 $-195,718,000 $-160,234,000 $172,083,000 $-41,568,000
2019 $294,963,000 $40,893,000 $240,443,000 $-199,383,000 $-190,822,000 $124,305,000 $11,952,000
2018 $341,192,000 $30,336,000 $208,717,000 $-178,434,000 $-159,117,000 $316,109,000 $49,250,000
2017 $180,294,000 $1,605,000 $130,526,000 $-128,927,000 $-73,717,000 $75,743,000 $19,334,000
2016 $180,385,000 $154,000 $109,592,000 $-109,569,000 $-84,391,000 $51,164,000 $-8,695,000