Recent Annual Filings for LGND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $941,774,000 $167,133,000 $164,615,000 $-9,157,000 $97,047,000 $97,141,000 $49,353,000
2023 $787,216,000 $131,314,000 $67,654,000 $52,321,000 $49,577,000 $-59,947,000 $-22,052,000
2022 $762,668,000 $196,245,000 $160,234,000 $-33,428,000 $137,850,000 $-275,990,000 $25,484,000
2021 $1,297,590,000 $277,133,000 $229,835,000 $57,022,000 $78,798,000 $-137,761,000 $-28,440,000
2020 $1,362,285,000 $186,419,000 $196,957,000 $-3,570,000 $54,586,000 $-310,545,000 $-24,311,000
2019 $1,494,915,000 $120,282,000 $-676,357,000 $630,110,000 $-29,336,000 $-485,172,000 $-47,507,000
2018 $1,260,803,000 $251,453,000 $78,123,000 $142,473,000 $194,059,000 $328,585,000 $99,160,000
2017 $671,021,000 $141,102,000 $83,871,000 $12,299,000 $93,568,000 $-7,523,000 $1,868,000