Recent Annual Filings for KZR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $144,682,000 $-83,768,000 $-74,212,000 $103,000 $6,256,000
2023 $221,235,000 $7,000,000 $108,870,000 $-101,077,000 $-81,645,000 $638,000 $-4,963,000
2022 $299,568,000 $-68,871,000 $-58,846,000 $127,861,000 $-22,426,000
2021 $217,933,000 $-54,784,000 $-42,437,000 $112,585,000 $41,654,000
2020 $151,842,000 $-41,683,000 $-36,949,000 $99,642,000 $6,277,000
2019 $89,513,000 $-35,080,000 $-29,877,000 $272,000 $-9,231,000
2018 $114,682,000 $-23,259,000 $-20,792,000 $77,913,000 $-26,864,000