Recent Annual Filings for KURA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $448,935,000 $-145,870,000 $-124,824,000 $94,783,000 $-14,484,000
2022 $456,306,000 $-142,083,000 $-110,062,000 $38,565,000 $-38,870,000
2021 $534,051,000 $-132,301,000 $-104,551,000 $-3,435,000 $-234,821,000
2020 $647,212,000 $-89,910,000 $-69,830,000 $469,334,000 $299,568,000
2019 $241,972,000 $-62,678,000 $-54,760,000 $111,101,000 $10,016,000
2018 $182,379,000 $-60,529,000 $-48,655,000 $132,641,000 $4,686,000
2017 $95,851,000 $-35,465,000 $-28,441,000 $53,567,000 $1,708,000
2016 $69,821,000 $-27,491,000 $-25,349,000 $7,453,000 $-5,718,000